If you picture yourself doing great things that make a difference in the lives of others, Turner is the place to be. Turner Construction is an industry leading commercial construction general contractor with a 120-year history spanning iconic projects around the globe, including 10 of the world's 100 tallest buildings.
Turner is committed to sustaining a diverse, equitable, and inclusive environment where everyone feels connected, sees themselves represented at all levels of the company, and feels supported to reach their ultimate potential. Turner builds some of the most ambitious projects in the world. The technical expertise of our people makes us a recognized leader in many markets. Our projects are well known. Our people set us apart. We inspire greatness. Can you picture yourself at Turner? If so, apply and let’s do great things together!
Position Description: Manage finance, accounting, and cost departments and liaise with Turner local profit center projects. Manage profit center financial reporting and risk management ensure adherence to company policies and procedures and generally accepted accounting principles.
Reports to: Senior Financial Manager, Operational Finance or VP, Regional Controller
Essential Duties & Responsibilities:
Create supportive environment to develop high performing team, provide professional development opportunities and engage in coaching and mentoring. Lead finance and other team members, provide timely performance feedback and contribute to performance appraisals. Develop and deliver training to staff on department processes. Provide financial and business decision leadership for core business activities and new opportunities. Work closely with profit center executive team as advisor and highly valued partner. Collaborate with general manager on execution of business strategies, provide support for key business decisions. Participate in EVP strategy and operating meetings. Collaborate with leadership team on development and preparation of annual profit plan and forecasting reports. Develop, analyze and present periodic financial statements and reports for profit center. Improve systems, processes and procedures to effectively support profit center, leaders and finance. Lead cash management and profit enhancement initiatives. Ensure bonding and insurance is obtained and maintained. Assist Tax department with local municipality tax issues. Oversee billing issuance, collection and overdue receivables. Manage financial compliance to ensure standards of compliance with external requirements and internal company policies. Drive focus on financial risk management, support development of policies/procedures, ensure clear and concise communication of standards. Active involvement in community and industry. Other activities, duties, and responsibilities as assigned.#LI-NM1