Our growing Construction Capital Management Firm is looking for a Controller to join our team. Selected talent will be responsible for the financial and accounting functions of GS Construction and affiliated entities controlled by ownership. The ideal candidate has excellent communication and multitasking skills, a positive attitude, and a strong work ethic. To be successful in this role, you should have in-depth knowledge of Generally Accepted Accounting Principles (GAAP) and experience with risk management. Ultimately, you’ll make sure we comply with accounting regulations, maximize profits and mitigate risks.
Oversee financial operations including AP/AR, job cost accounting, payroll and cash flow management
Work-In-Progress reporting & General Ledger
Produce monthly financial statements
Coordinate quarterly accounting reviews, annual audits and tax returns
Prepare the annual financial budget and update the forecasts on a quarterly basis.
Create budgets with ownership and manage budgets to ensure fiscal health and responsibility
Review of construction contract schedules.
Oversee the monthly job cost report process with the President and project managers for use in creating and updating contract schedules and updated work in progress reports for internal and external use.
Maintenance of insurance/risk protection program Retirement Programs
Assist in the development, implementation and administration of the GS 401(k) plan and other employee benefits.
Recommend company cost saving strategiesParticipate in the on-going strategic planning with the JCP leadership team. Perform due diligence and create projections with different scenarios on growth opportunities as needed.
Maintain state registrations, business and tax licenses, etc.
Document, monitor and update accounting policies
Ensure all payments are completed on time (including accounts payable and bank deposits)
Review quarterly and annual budgets for all departments
Analyze costs and profits
Set and track financial KPIs
Build risk assessment models to evaluate investments
Report on financial status on a regular basis and create ad-hoc reports when needed
Maintain accurate and up-to-date filing systems
Perform internal audits and assist with external audits
Ensure compliance with accounting and tax regulations
Experience dealing with banks and financial institutions
Work with Senior Management and Operations Managers to ensure financial directives are followed.
Excellent written and verbal communication
Strong knowledge of Excel and Quick books required · Work directly with CEO to produce cash flow projections as well as departmental budgets
As one of metro Atlanta’s most highly regarded pipeline and municipal contractors, we specialize in large-scale municipal projects.
With over 30 years of experience in utility construction,
we work on storm drains, waterlines, sewers, concrete
curbs, gutters, sidewalks and more! Our team consists
of experienced engineers, project managers and a
qualified labor force.
Our world class team efficiently provides turnkey
construction services from the planning phase to