Director of Finance
Listed on 2026-03-12
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Finance & Banking
Financial Manager -
Management
Financial Manager
At Foundation Repair of CA, our purpose is clear, to redefine what homeowners expect from a contractor. We believe every interaction should leave our clients feeling confident, cared for, and genuinely impressed by the experience.
Our success begins with our people. We’ve built a strong, unified team driven by collaboration, accountability, and pride in what we do. Every project we take on is handled with precision and passion, and every customer is treated like part of our extended family.
Foundation Repair of CA is part of Landmark Foundation Group (LFG). LFG is a premier family of brands specializing in basement waterproofing, foundation repair, crawlspace encapsulation, and concrete slab repair. Partnering with Tenex Capital Management, and having a commitment to delivering high-quality services, Landmark Foundation Group is at the forefront of providing innovative, cost-effective solutions that ensure the safety, stability, and longevity of residential and commercial properties.
The Director of Finance will oversee the financial health, handling budgeting, forecasting, reporting, and compliance to drive profitability. They will manage cash flow, analyze market trends, and guide strategic investment decisions.
The successful candidate will have the ability to thrive in a smaller scale environment, bringing an agile and entrepreneurial hands‑on approach, equally able to think innovatively and to readily roll up their sleeves to drive execution.
Job SummaryWe are seeking an experienced Director of Finance to oversee our financial operations, analyze performance, and provide strategic guidance to the executive team. The ideal candidate will ensure accurate reporting, manage budgeting, and drive profitability through sound financial practices.
Key Responsibilities- Financial Planning & Analysis (FP&A):
Prepare, monitor, and analyze monthly, quarterly, and annual financial reports (balance sheets, income statements, cash flow). - Budgeting & Forecasting:
Develop, monitor, and maintain company budgets and long‑term financial forecasts. - Strategic Advisory:
Analyze market trends, competitor data, and internal performance to provide actionable insights for decision‑making. - Cash Flow & Treasury:
Manage daily cash flow, investments, and ensure adequate funding for operations. - Compliance & Audit:
Ensure compliance with GAAP, local, state, and federal regulations; manage internal/external audits. - Team Leadership:
Supervise, train, and mentor accounting and finance staff.
- Education:
Bachelor’s degree in Accounting, Finance, or Economics. - Certification: CPA, CMA, or relevant certification strongly preferred.
- Experience:
5+ years in accounting or financial analysis, preferably in a supervisory role. - Technical
Skills:
Proficiency in accounting software (e.g., SAP, Oracle, Quick Books), advanced Excel skills (modeling, pivot tables). - Skills:
Strong analytical, communication, and leadership capabilities.
- Accuracy of financial reporting.
- Budget variance analysis.
- Cash flow efficiency.
- The ideal candidate will be based in/or commute to Livermore, CA daily.
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