Financial Controller / Finance Manager (Construction Industry)

Georgia Green Energy Services Llc
$80,000 - $110,000Hybrid

About The Position

We are seeking a hands-on Financial Controller with experience in the construction or service industry to take ownership of the company’s financial operations while supporting strategic financial initiatives. This role is responsible for day-to-day financial control, cash flow management, and job costing, while also assisting leadership with lender relations, capital planning, and financial strategy. The ideal candidate is both operationally strong and strategically aware—someone who can execute at a high level while contributing to the company’s long-term financial direction.

Requirements

  • 5+ years of experience in accounting or finance
  • Construction, electrical, or service-based industry experience REQUIRED
  • Strong understanding of job costing, WIP, and project-based accounting
  • Proficiency in QuickBooks and Excel
  • Strong organizational and communication skills
  • Ability to operate independently in a fast-paced environment

Nice To Haves

  • Experience supporting lender relationships, financing, or bonding processes preferred

Responsibilities

  • Monitor and report daily cash position
  • Track incoming payments and outgoing obligations
  • Maintain accurate, real-time financial records
  • Ensure timely invoicing and billing accuracy
  • Actively manage collections and reduce outstanding receivables
  • Maintain AR aging reports and drive cash flow improvements
  • Review and prioritize vendor payments
  • Manage payment schedules based on cash flow
  • Maintain strong vendor relationships and communication
  • Develop and maintain weekly cash flow forecasts
  • Identify risks and recommend proactive solutions
  • Ensure alignment between receivables, payables, and payroll
  • Track job costs vs. estimates
  • Identify margin erosion and cost overruns
  • Partner with operations to improve profitability
  • Assist with lender requests, reporting, and documentation
  • Support line of credit, financing, and compliance requirements
  • Prepare financial packages for banks and partners
  • Assist in preparing financials for bonding requests
  • Support documentation for surety and underwriting reviews
  • Contribute to capital planning and funding readiness
  • Assist leadership with financial insights and reporting
  • Identify trends, risks, and opportunities within the business
  • Support budgeting and forward planning initiatives
  • Work alongside external CFO or financial advisors
  • Provide accurate data to support strategic decisions
  • Help bridge the gap between financial strategy and execution

Benefits

  • 401(k) matching
  • Bonus based on performance
  • Competitive salary
  • Dental insurance
  • Flexible schedule
  • Health insurance
  • Opportunity for advancement
  • Paid time off
  • Profit sharing
  • Training & development
  • Vision insurance
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