Controller, Finance & Banking, Financial Manager
Company Description
Park View Homes is an innovative home builder committed to creating houses that people are proud to call home. Based in North Gower, near Ottawa, we specialize in building exceptional homes and fostering thriving communities in the National Capital Region. With a focus on quality, integrity, and innovation, we use local materials and suppliers to construct houses that prioritize craftsmanship and connection.
Passionate about serving secondary markets, we make home ownership accessible while promoting peace, space, and a better lifestyle. At Park View Homes, we believe in building not just houses, but homes and communities where people can live with pride and comfort.
We are looking for an experienced Controller to lead the day-to-day financial operations of the business and support strategic decision-making at the leadership level. This role is responsible for ensuring accurate financial reporting, strong internal controls, regulatory compliance, and proactive cash flow management.
You’ll own the integrity of our financial systems, and play a key role in maintaining financial stability through key projects as the business grows.
Responsibilities and Duties Leadership & Team Management- Lead, manage, and develop the Finance team to ensure high performance, accountability, and adherence to company values
- Establish clear expectations, deadlines, and processes to support accuracy and efficiency
- Foster a culture of ownership, continuous improvement, and professionalism within the department
- Own the accuracy and timeliness of all financial reporting
- Lead month-end and year-end close processes
- Ensure all reconciliations, journal entries, and supporting documentation are complete and accurate
- Ensure compliance with all applicable tax filings, regulatory requirements, and financial reporting standards
- Coordinate with external accountants, auditors, and advisors as required
- Design, implement, and maintain strong internal financial controls
- Support audit readiness and continuous improvement of financial governance
- Proactively identify financial risks and recommend mitigation strategies
- Lead the annual budgeting process and ongoing forecasting
- Ensure budgets and forecasts align with business objectives and operational realities
- Monitor performance against budget and provide clear variance analysis
- Manage cash flow, working capital, and liquidity
- Maintain relationships with banking partners and financial institutions
- Ensure sufficient cash buffers to support operational and strategic needs
- Deliver meaningful financial analysis, dashboards, and reporting
- Provide insights that support leadership decision-making
- Translate financial data into clear, actionable recommendations
- Cash Flow Management:
Maintain a healthy cash buffer and reliable cash flow forecasting - Financial Close & Reporting:
Deliver accurate, complete month-end financials within target timelines (e.g., within 15 business days), including reconciliation accuracy and forecast reliability
- CPA designation
- 10+ years of progressive experience in accounting or finance, including leadership responsibility
- Strong knowledge of financial reporting, internal controls, and compliance
- Proven experience with budgeting, forecasting, and cash flow management
- Strong analytical skills with the ability to communicate insights clearly to non-finance stakeholders
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