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Group Financial Controller

Leyton

We are recruiting on behalf of our client, a well-established and rapidly growing company in the construction and infrastructure sector, for a Group Controller to join their leadership team based in Vaughan, Ontario.

This is a key leadership role overseeing the financial operations of multiple entities (8+), managing a team of 10 direct reports, and partnering closely with the CFO to support strategic growth initiatives, including mergers and acquisitions.

This role requires a strong balance of technical accounting expertise, operational leadership, and strategic mindset, within a fast-paced, project-based environment.

Key Responsibilities

  • Oversee full-cycle accounting and financial operations across a portfolio of entities
  • Lead monthly, quarterly, and year-end close processes, ensuring accuracy and timeliness
  • Ensure integrity of financial reporting, including general ledger, accruals, and reconciliations
  • Establish and maintain robust internal controls and scalable accounting processes

Consolidation & Reporting

  • Lead multi-entity consolidations and preparation of consolidated financial statements
  • Ensure compliance with applicable accounting standards and regulatory requirements
  • Deliver accurate and timely reporting packages to executive leadership and stakeholders
  • Oversee audit processes and liaise with external auditors

Mergers & Acquisitions / Growth Initiatives

  • Partner with the CFO on M&A activities, including due diligence, financial modeling, and integration
  • Support post-acquisition integration of finance functions, systems, and processes
  • Identify opportunities to improve financial structures and reporting across newly acquired entities

Budgeting, Forecasting & Business Partnering

  • Lead annual budgeting and ongoing forecasting across entities
  • Partner with operational leaders to monitor project performance, job costing, and profitability
  • Provide actionable financial insights to support strategic decision-making and growth

Cash Flow & Working Capital Management

  • Oversee cash flow planning, liquidity management, and intercompany transactions
  • Monitor working capital, including receivables, payables, and project cash cycles
  • Lead, mentor, and develop a team of 10 accounting and finance professionals
  • Drive accountability, performance, and continuous improvement within the team
  • Build scalable team structures aligned with company growth

Process Improvement & Systems

  • Optimize and standardize accounting processes across entities
  • Lead or support ERP implementations and system enhancements
  • Identify automation opportunities to improve efficiency and reporting accuracy

Qualifications

  • CPA designation (CA, CMA, or CGA) required
  • 10+ years of progressive experience in accounting/finance leadership roles
  • Strong experience in multi-entity environments and consolidations
  • Proven track record supporting or leading M&A transactions and integrations
  • Experience in construction, infrastructure, or project-based industries strongly preferred
  • Strong leadership, communication, and stakeholder management skills
  • Advanced proficiency with ERP systems; experience with construction accounting tools is an asset

Why This Role

  • Opportunity to play a key leadership role in a high-growth organization
  • Direct exposure to strategic initiatives and M&A activity
  • Ability to shape and scale finance operations across multiple entities
  • Close partnership with executive leadership
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Vacancy posted more than 2 months ago

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