Corporate Controller
Specialty Contracting
On-site - Miami, Florida
Full-Time, Exempt
Reports to: Chief Financial Officer (CFO)
Role Overview
This is a senior finance leadership role with a Miami-based specialty contractor operating at
meaningful scale across South Florida. The company specializes in structural repair, concrete
restoration, waterproofing, and renovation services for condominium and commercial property
clients. The business has grown rapidly, built a strong regional reputation, and operates within a
private equity-backed structure with a substantial portfolio of active projects.
The Corporate Controller owns the accounting operation end-to-end - financial reporting, close,
internal controls, revenue recognition, treasury, audit, and the financial discipline required of a
growing PE-backed organization. Reporting directly to the CFO, you will serve as the primary
steward of financial statement integrity while also acting as a hands-on partner to operational
and executive leadership.
This is not simply a reporting or maintenance position. The company is growing, the PE sponsor
is engaged, and the Controller will be expected to strengthen processes, identify issues early,
improve scalability, and help the organization make better financial decisions.
What You Will Do
Financial Reporting & Close
Lead the monthly, quarterly, and annual financial close process, ensuring financial
statements are accurate, complete, and delivered on time
Prepare and review consolidated financial statements in accordance with U.S. GAAP
Oversee board-level and executive management financial reporting packages
Manage external audit engagements, including year-end financial statement audits
Ensure proper revenue recognition in accordance with ASC 606 and other applicable
accounting standards, particularly within a project-driven operating environment
Private Equity Sponsor & Lender Reporting
Prepare accurate monthly and quarterly financial reporting packages for management and
the private equity sponsor, including management accounts, KPI dashboards, and variance
analyses
Own lender and bank reporting obligations, including compliance certificates, borrowing base
certificates, and financial covenant calculations
Monitor covenant performance and proactively identify potential concerns for the CFO and
PE sponsor
Support preparation of materials for Board meetings, lender meetings, bank syndications,
and refinancing activities
Coordinate with legal counsel and lenders regarding amendments, waiver requests, and
other credit facility matters
Respond to PE sponsor requests related to portfolio reporting, benchmarking, and value-
creation initiatives
Accounting Operations
ttg Talent Solutions | Corporate Controller
Direct general ledger and accounting operations, including accounts payable, accounts
receivable, payroll, fixed assets, and treasury reconciliations
Establish and maintain accounting policies, procedures, and the chart of accounts
Maintain strong accounting discipline around project costs, revenue, margins, and
profitability
Partner with operations to ensure the accounting organization accurately reflects the
economics of the company's projects and contracts
Internal Controls & Compliance
Design, implement, and maintain a strong system of internal controls over financial reporting
Ensure compliance with applicable federal, state, and local regulatory requirements
Maintain appropriate accounting documentation, policies, and control standards
Support internal and external audit requirements and respond to financial reporting and
compliance inquiries
Tax & Treasury
Partner with external tax advisors on federal and state tax compliance and planning
Manage cash flow forecasting, banking relationships, and treasury operations
Support the CFO in maintaining appropriate liquidity and financial visibility across the
organization
Leadership & Strategic Partnership
Build, develop, and retain a high-performing accounting team
Establish clear standards for accountability, accuracy, responsiveness, and continuous
improvement
Partner cross-functionally with FP&A, Legal, Operations, and business unit leadership
Translate financial information into clear insights that support business decisions
Drive process improvement and automation initiatives that allow the finance function to scale
with the organization
Evaluate and implement accounting systems, ERP upgrades, and financial technology
solutions
Support M&A activity, including due diligence, purchase accounting, and post-close
integration
What You Bring
Education & Certification
Bachelor's degree in Accounting
Certified Public Accountant (CPA) required
Experience
Progressive accounting and financial reporting experience with sufficient technical depth to
operate successfully at the Controller level
Prior experience as a Controller, Assistant Controller, Director of Accounting, Senior
Accounting Manager, or in a comparable accounting leadership capacity
10+ years of experience is preferred, but is not a limiting requirement; candidates with fewer
years should be considered when their technical accounting depth and leadership
experience demonstrate readiness for the role
Demonstrated experience managing the full financial close cycle end-to-end
ttg Talent Solutions | Corporate Controller
Strong understanding of revenue recognition and accounting for project-, contract-, job-, or
production-driven businesses
Experience with cost accounting, project accounting, job costing, contract accounting, WIP,
ASC 606, percentage/stage-of-completion concepts, or comparable accounting
methodologies is highly relevant
Public accounting experience, particularly with a Big 4 or national firm, is strongly preferred
but not required
Experience within a private equity-backed company is a meaningful plus
ERP implementation or financial systems transformation experience is a plus
Skills & Attributes
Strong technical accounting and financial reporting foundation
Excellent analytical and organizational skills
Ability to translate complex financial information into a clear business narrative
Hands-on leadership style with the willingness to work at both the strategic and detailed
accounting levels
Proven ability to lead, develop, and retain accounting professionals
Strong judgment and the confidence to identify and escalate financial issues early
Comfortable partnering directly with a CFO, senior executives, operational leaders, lenders,
auditors, and external stakeholders
Process-improvement mindset with an interest in automation and scalable systems
Familiarity with tools such as Power BI, Tableau, or SQL is a plus
Bilingual English/Spanish is a plus
A Note on Background
The right candidate does not need to come specifically from construction, restoration, property
management, real estate, or maintenance.
What matters more is the underlying accounting experience.
Strong candidates may come from any environment involving projects, contracts, jobs,
productions, long-duration deliverables, significant cost allocation, or other activities requiring
sophisticated matching of revenue and costs over time. Relevant backgrounds may therefore
include construction and specialty contracting, but also engineering, manufacturing, industrial
services, aerospace and defense, telecommunications, media and television production,
technology implementation, and other project-driven businesses.
Experience with percentage-of-completion or similar accounting should also not be evaluated
solely through literal terminology on a candidate's profile. Qualified accounting professionals
frequently perform project accounting, cost-to-cost analysis, WIP accounting, contract
accounting, revenue recognition, project forecasting, cost allocation, and profitability analysis
without specifically describing their work as "percentage of completion."
The candidate's total experience, business environment, responsibilities, and accounting
sophistication should therefore be considered when assessing transferability.
Compensation & Benefits
The company offers a competitive compensation package commensurate with experience,
including:
Competitive base salary
Annual performance-based bonus
Equity participation
ttg Talent Solutions | Corporate Controller
Comprehensive medical, dental, and vision coverage
401(k) with company match
Generous paid time off and company holidays
Professional development and continuing education support
A Note on Culture
This is a hands-on, growth-oriented environment where the finance organization is expected to
contribute well beyond producing the numbers. The successful Controller will be comfortable
asking difficult questions, identifying issues before they become problems, improving processes,
and partnering closely with both finance and operations.
If you combine strong technical accounting judgment with a practical, engaged leadership style
and enjoy helping a growing organization build the financial infrastructure required for its next
stage, this role offers that opportunity.
About ttg Talent Solutions
ttg Talent Solutions is a talent acquisition and workforce solutions firm focused on connecting
exceptional professionals with organizations where they can make a meaningful impact. Our
recruiting approach combines experienced human judgment, modern technology, and a high-
touch process designed to create clarity, speed, and strong alignment for both candidates and
clients.
At ttg, we view candidates as long-term professional relationships, not transactions. We
communicate directly, prepare candidates thoroughly, and remain engaged throughout the
process so each opportunity is evaluated with the context, transparency, and attention it
deserves.
Equal Opportunity Employer
All qualified applicants will receive consideration for employment without regard to race, color,
religion, sex, national origin, disability, veteran status, or any other characteristic protected by applicable law.
Pay: $150,000.00 - $200,000.00 per year
Benefits:
- 401(k)
- 401(k) matching
- Dental insurance
- Disability insurance
- Health insurance
- Life insurance
- Paid time off
- Vision insurance
Work Location: In person