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Corporate Controller; Head of Accounting & Finance

Job in Phoenix, Maricopa County, Arizona, 85003, USA
Listing for: Ledgestone Hospitality
Full Time position
Listed on 2026-09-25
Job specializations:
  • Finance & Banking
    Financial Compliance, Corporate Finance, Financial Controller, Financial Reporting
  • Accounting
    Financial Compliance, Financial Controller, Financial Reporting
Salary/Wage Range or Industry Benchmark: 180000 - 240000 USD Yearly USD 180000.00 240000.00 YEAR
Job Description & How to Apply Below
Position: Corporate Controller (Head of Central Accounting & Finance)

Lead the Financial Strategy of a Growing Hospitality Company

Ledgestone Hospitality is seeking an experienced Ccorporate Controller (Head of Central Accounting & Finance) to lead the financial operations of our growing hotel management platform. Reporting directly to the President and Chief Financial Officer, this executive will oversee all accounting, financial reporting, budgeting, treasury, and compliance functions across a diverse portfolio of branded and independent hotels.

This is an exceptional opportunity for a hospitality finance leader who thrives in a fast‑paced, entrepreneurial environment and enjoys building scalable financial systems, leading high‑performing teams, and partnering with operations to maximize profitability and owner value.

About Ledgestone Hospitality

Ledgestone Hospitality is a hotel management and investment company led by industry veterans with more than 75 years of combined hospitality experience. Built on a foundation of integrity, accountability, and operational excellence, we manage a growing portfolio of hotels across the United States, including Hilton, Marriott, IHG, Wyndham, independent hotels, and boutique resorts. Our mission is simple: deliver exceptional guest experiences while maximizing financial performance for our owners through disciplined operations, strategic insight, and innovative hospitality management.

Position Overview

The Corporate Controller is responsible for the overall financial leadership of the organization, overseeing both corporate and property‑level accounting operations. This role ensures accurate and timely financial reporting, maintains strong internal controls, manages cash flow and treasury functions, and provides strategic financial guidance to executive leadership and property operations. The successful candidate will possess extensive hospitality finance experience, a deep understanding of USALI (Uniform System of Accounts for the Lodging Industry), and a proven ability to build processes that support a growing multi‑property organization.

Key Responsibilities
  • Lead all financial and accounting operations across a multi‑property hotel portfolio.
  • Serve as a trusted financial advisor to the President, CFO, and executive leadership team.
  • Develop financial strategies that support company growth and long‑term profitability.
  • Evaluate financial performance and identify opportunities to improve operational efficiency and owner returns.
  • Build and mentor a high‑performing accounting and finance team.
  • Oversee all month‑end and year‑end close processes.
  • Ensure timely and accurate preparation of monthly financial statements in accordance with GAAP and USALI.
  • Review and analyze balance sheets, income statements, cash flow statements, and supporting schedules.
  • Oversee general ledger, journal entries, bank reconciliations, fixed assets, accounts payable, accounts receivable, and treasury functions.
  • Maintain strong internal controls and accounting policies across all managed properties.
Budgeting, Forecasting & Analysis
  • Lead the annual budgeting and forecasting process across the portfolio.
  • Prepare financial models, forecasts, and cash flow analyses.
  • Analyze financial performance, operating trends, and key performance indicators.
  • Research and explain budget variances while recommending corrective actions.
  • Support strategic planning, acquisitions, transitions, and other corporate initiatives.
Treasury & Compliance
  • Manage corporate cash flow and banking relationships.
  • Monitor liquidity and oversee intercompany cash transfers.
  • Coordinate annual audits and tax reporting.
  • Ensure compliance with federal, state, and local financial regulations.
  • Oversee sales tax filings and other regulatory reporting requirements.
Owner & Operational Support
  • Prepare monthly…
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