Senior Finance and Accounting Manager at Gurr Brothers Construction
Carrollton, Texas, United States -
Full Time


Start Date

Immediate

Expiry Date

27 May, 26

Salary

140000.0

Posted On

26 Feb, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Close, Management Reporting, GAAP Compliance, Consolidation, Financial Planning, Forecasting, Variance Analysis, KPI Definition, Power BI, M&A Due Diligence, Financial Modeling, Risk Assessment, Tax Compliance, ERP Systems, Data Standardization, Executive Communication

Industry

Construction

Description
Description About Us Gurr Brothers Construction is a multi-branded, national leader in restoration, mitigation, contents packout and storage, and reconstruction. With150+ locations in over 30 states and a rapidly expanding footprint, we are entering a critical phase of growth supported by private equity partners and an active mergers & acquisitions strategy. As we prepare for continued expansion, private equity sponsorship, and elevated board reporting requirements, we are building out a more sophisticated Finance and Accounting infrastructure and we are seeking a Senior Finance and Accounting Manager who is ready to step into a role with significant responsibility, visibility, and impact. Compensation & Benefits $80,000 – $140,000 annually (DOE) Medical, Dental, and Vision Insurance, Eligibility just after 30 days of employment PTO and Holidays Hybrid work flexibility Key Responsibilities Financial Close & Management Reporting Lead month-end close and ensure accurate, GAAP-compliant financials. Build and refine management reporting packages for executive and board-level review. Support internal controls, multi-entity consolidation, and financial accuracy across operating divisions. Develop reporting structures that enhance visibility for Operations, Leadership, and PE partners. Financial Planning & Analysis (FP&A) Build and maintain budgets, models, and rolling forecasts to support strategic growth. Conduct variance analysis and provide insights to drive profitability and operational performance. Partner with department leaders to define KPIs and strengthen data-driven decision-making. Create Power BI dashboards and automated reporting tools for executive visibility. Strategic Initiatives, M&A, and Private Equity Support Support private equity readiness, audit preparedness, and capital structure analysis. Participate in M&A due diligence, financial modeling, acquisition evaluations, and post-close integration. Lead or support cross-functional projects related to treasury, automation, reporting enhancements, and enterprise financial systems. Contribute to risk assessment and enterprise risk platform development. Tax Compliance & Multi-State Reporting Serve as organizational lead for federal, state, and local tax compliance across 30+ states. Oversee sales/use tax, property tax, and all required filings, extensions, and estimated payments. Work with external tax advisors, auditors, and regulatory partners. ERP & Systems Development Support the ongoing enhancement of our ERP and financial systems. Improve data standardization, intercompany processes, and reporting workflows. Strengthen systems that support scalability, audit readiness, and operational accuracy. Collaboration & Leadership Partner directly with finance executives, operations leadership, and regional teams. Support board reporting, lender communications, and PE-related financial requirements. Manage key external relationships including auditors, lenders, and insurance partners. Requirements Qualifications CPA Required Bachelor’s degree in accounting, finance, or a related field 3+ years of progressive accounting or finance experience. Experience in private-equity environments, M&A activities, ERP systems, or audit-level reporting is strongly preferred. Strong analytical capabilities and exceptional attention to detail. Ability to operate effectively in a fast-paced, multi-entity environment. Excel, Power BI, and financial modeling skills. Proven ability to communicate with C-suite executives and board-level stakeholders.
Responsibilities
This role involves leading the financial close process, ensuring GAAP compliance, and building sophisticated management reporting packages for executive and board review. Key duties also include developing budgets, rolling forecasts, conducting variance analysis, and supporting strategic initiatives like M&A and private equity readiness.
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