Controller/Finance Director

Cherry BekaertMontgomery, AL
Onsite

About The Position

A growing, venture-backed company West of Montgomery, AL is looking for a Director of Finance and Administration to lead finance, accounting and administration functions of the company’s Alabama region. The Director of Finance & Administration will report to the General Manager/President and work closely (dotted line) with the Corporate CFO. The ideal candidate will be self-motivated, enthusiastic, and community-driven to take on this exciting role as a key financial and operations leader.

Requirements

  • BS/BA in Accounting, Finance or Business desired
  • 7-10 years’ experience in project finance or construction accounting is preferred but not required
  • Telecommunication, fiber optics, infrastructure or broadband is preferred but not required
  • Strong understanding of operational accounting
  • Active CPA certification preferred
  • Strong Excel skills and understanding of complex financial models and analysis
  • Proven ability to plan, organize, and prioritize effectively
  • Bring a positive attitude and readiness to be a team player.
  • Proven ability to perform in a management capacity, excellent written and oral communications skills, and a thorough knowledge of financial management required
  • Ability to interact with colleagues in a small, self-managed team structure
  • Must be able to multitask in a fast-paced environment within a small team

Responsibilities

  • Maintain the finance, accounting and administrative functions of regional office
  • Maintain appropriate financial controls and policies and procedures
  • Perform regional month-end close/accounting/bookkeeping tasks as required
  • Manage project cash and cash use including issuing payments, invoicing, managing drawdowns of shareholder cash to fund construction costs, etc.
  • Review/optimize short, medium- and long-term capital needs and related financing arrangements
  • Prepare all financial reports, including income statements, cash flow statements, balance sheets and reports to shareholders and lenders, as applicable
  • Prepare and present budgets and reports for the Board and analyze discrepancies between actual and projected figures and suggest methods of improving as appropriate
  • Coordinate financing agreement compliance and annual credit rating review with CFO
  • Manage yearly financial audit activities
  • Update and maintain the financial model
  • Advise GM/CFO/Board on any financial issues or potential risks that might affect the Project
  • Manage financial, tax advisors, auditors and other consultants
  • Follow risk management activities including insurance program and renewals in accordance with project documentation
  • Advise toward achieving business plan targets per the financial model and annual budgets
  • Stay modern with any US GAAP accounting standards and their impact to the project
  • Stay abreast of any new or proposed legislation and its financial impact on the project
  • Establish record repository and ensure complying with record retention standards outlined within the Project Documents
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