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Corporate Controller
Job in
Cleveland, Cuyahoga County, Ohio, 44101, USA
Listed on 2026-02-16
Listing for:
Pepper Pike Capital Partners
Full Time
position Listed on 2026-02-16
Job specializations:
-
Management
Financial Manager -
Finance & Banking
Financial Manager, Corporate Finance
Job Description & How to Apply Below
Pepper Pike Capital is seeking an experienced Controller to serve as the financial leader across a growing portfolio of operating companies. This is a senior leadership role with direct visibility to ownership and executive management, ideal for a Controller who wants influence, autonomy, and a seat at the table as the business scales.
This role oversees all accounting and financial operations across construction, building supply, land development, and residential remodeling entities. The Controller will act as a strategic partner to executive leadership and operations, bringing financial clarity, discipline, and insight to complex, project driven environments.
What You Will Own- Full financial leadership across multiple entities and business lines
- Construction accounting, job costing, work in progress reporting, and margin analysis
- Monthly, quarterly, and annual close with accurate and timely financial reporting
- Budgeting, forecasting, and cash flow management across active projects
- Construction draws, lender reporting, and compliance requirements
- General ledger oversight and internal control design and execution
- Financial systems, processes, and reporting improvements to support growth
- Leadership, development, and accountability for the accounting team
- Partnership with project managers and operations to control costs and improve profitability
- Financial insight and decision support for executive leadership
- 10+ years of progressive accounting or auditing experience, with at least 5 years in a senior or leadership capacity
- 5+ years of hands on experience with accounting and financial management systems
- Demonstrated experience in construction and or real estate accounting environments, including job costing and project based financials
- 5+ years of experience leading cash flow forecasting, financial analysis, and liquidity planning across multiple projects or entities
- Proven ability to support strategic planning through budgeting, forecasting, and financial modeling
- Strong background in financial analysis, account reconciliation, and management accounting
- Experience operating in multi entity or multi business line environments
- Track record of partnering with executive leadership on financial decision making
- CPA or equivalent professional certification preferred but not required
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