Oversee multi-entity accounting operations: Manage the full accounting cycle across multiple entities, including general ledger, AR/AP, and month-end close, ensuring accurate and timely financial reporting. A key focus is on tracking performance at the clinic/location level.
Lead audit and compliance: Coordinate external audits and tax filings, maintaining strict adherence to regulatory requirements and private equity-backed reporting standards.
Manage and develop accounting team: Supervise a compact team of onshore and offshore staff, driving coaching and process enhancements to support scalable growth.
Drive M&A integration: Lead accounting post-close integration efforts, collaborating closely with the CFO and executive leadership on deal execution.
Drive process and system improvements: Own NetSuite accounting system administration and spearhead initiatives to optimize accounting workflows and strengthen internal controls.
Requirements
M&A Integration, NetSuite, & Multi-Entity Expertise Desired: Deep muscle memory around M&A accounting integration, NetSuite, and multi-entity environments are strongly preferred to hit the ground running in this role.
PE-Backed Environment Experience: They need someone who’s comfortable with the fast pace and complexity of private equity-backed companies, bringing a strong executive presence and a proactive, get-it-done mentality.
Proven Accounting Leadership: Looking for a hands-on leader who’s led accounting teams before and can build and scale the function autonomously—perfect for someone ready to own and grow the accounting ops.