Regional Controller
Vortex Companies
Want to be part of one of the country's fastest growing infrastructure businesses? The Vortex Companies, LLC delivers cutting edge trenchless technologies and turnkey services to make the worlds water cleaner and we're growing every day! We think BIG about solving the world's toughest challenges in failing water, sewer and industrial infrastructure. At Vortex, you will be surrounded with a culture that puts your safety first in all we do. If you like a fast-paced environment, a team structure that provides support, training, and development, Position Overview We are seeking an experienced Regional Controller to provide financial leadership and accounting oversight for three business units located in Iowa, Minnesota, and Montana. This role will partner closely with regional operations leaders, project managers, payroll, and Corporate Finance to improve financial performance, ensure accurate reporting, and maintain consistent accounting practices across the region. The Regional Controller will have responsibility for job cost accounting, monthly close, forecasting, accounts receivable, union payroll oversight, internal controls, and operational financial support. This is a hands-on leadership role for someone who is comfortable working directly in the details while also providing strategic financial guidance to regional leadership. The ideal candidate is proactive, operationally focused, and able to improve systems and processes as the businesses continue to grow. Key Responsibilities Regional Financial Leadership Provide financial leadership and accounting oversight for business units in Iowa, Minnesota, and Montana Serve as the primary financial partner to regional leadership, business unit leaders, project managers, and operations teams Develop a strong understanding of each business unit’s operations, customers, projects, and financial performance Provide financial analysis and recommendations to support operational and strategic decision-making Review financial results with business leaders and explain significant budget, forecast, and prior-year variances Identify financial risks, margin concerns, and opportunities to improve profitability Ensure consistent accounting practices, reporting processes, and internal controls across all three business units Serve as the primary liaison between the regional businesses and Corporate Finance Job Cost and Financial Reporting Review job cost reports with Project Managers to ensure accuracy and proper cost coding by job and phase Maintain detailed knowledge of assigned jobs including gross profit, margin trends, over/under billings, and pending change orders Partner with operations teams to proactively identify cost issues and improve financial visibility across projects Support leadership with financial insights that help improve project performance and operational decision‑making Help refine reporting processes to improve clarity, accuracy, and timeliness of project financial data Receivables and Cash Flow Management Monitor accounts receivable aging and identify at-risk accounts Partner with Project Managers to improve billing accuracy and collection timelines Coordinate with subcontractors and clients to resolve billing and payment issues Document collection efforts and elevate cash flow risks when necessary Accounting Operations and Close Enter invoices, accruals, and journal entries accurately and on time Support monthly close activities to ensure deadlines are met and financial results are accurate Identify opportunities to improve accounting workflows and strengthen financial processes as the business scales Process petty cash checks for apprentices and coordinate posting with accounting Pay state and union training funds Process Improvement and Operational Support Identify opportunities to improve financial processes, reporting, and internal controls Help implement improvements that increase efficiency and support the needs of a growing organization Act as a resource to operations teams to ensure financial processes support project execution and profitability What We're Looking For 5+ years of hands-on accounting experience in construction Strong knowledge of job cost accounting, journal entries, and monthly close NetSuite experience required Proficiency with Excel and ERP systems Detail-oriented and accountable Ability to work cross-functionally with operations teams in a fast-paced environment Comfortable balancing hands-on execution with process improvement and operational support What We Offer Be part of a growing company with real impact on the ground floor Work closely with operations and finance leadership Strong benefits package: medical, dental, vision, 401(k), PTO Competitive pay (based on experience) Collaborative culture This is a full-time, in-office role (5 days a week). Vortex Companies, LLC and all of its subsidiaries, considers applicants for all positions without regard to race, color, creed, religion, sex, age, national origin, marital status, status with regard to public assistance, or sexual orientation. All applicants will be considered solely on the basis of their qualifications. We are a fair chance employer. #J-18808-Ljbffr
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