What are the responsibilities and job description for the Controller position at Hydromax Plumbing?
Position Summary
The Controller is a key financial leader responsible for owning and managing all accounting and financial operations for Hydromax Services who has been providing plumbing, underground infrastructure, trenchless, septic and grease trap cleaning services to the local community for over 50 years.
This is a unique opportunity to provide both strategic insight and hands-on execution while ensuring alignment, accuracy, and accountability across all financial activities.
The Controller will play a critical role in establishing policies and procedures, maintaining financial integrity, and supporting leadership with actionable insights to drive business performance.
Essential Duties
To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. Reasonable accommodation may be made to enable qualified individuals with disabilities to perform the essential functions.
The Controller is a key financial leader responsible for owning and managing all accounting and financial operations for Hydromax Services who has been providing plumbing, underground infrastructure, trenchless, septic and grease trap cleaning services to the local community for over 50 years.
This is a unique opportunity to provide both strategic insight and hands-on execution while ensuring alignment, accuracy, and accountability across all financial activities.
The Controller will play a critical role in establishing policies and procedures, maintaining financial integrity, and supporting leadership with actionable insights to drive business performance.
Essential Duties
To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. Reasonable accommodation may be made to enable qualified individuals with disabilities to perform the essential functions.
- Own and manage the general ledger and the overall financial and management reporting processes
- Lead the timely monthly, quarterly, and annual close processes, including the preparation of balance sheet reconciliations and the maintenance of fixed assets and depreciation schedules
- Prepare accurate and timely financial statements and management reports for leadership review
- Oversee and prepare cash flow, forecasting, and financial planning activities
- Ensure compliance with federal, state, and local tax requirements, including sales tax and applicable filings
- Establish, document, and improve accounting processes, policies, and internal controls
- Serve as the primary point of contact for external auditors, tax advisors, and financial partners
- Provide financial analysis, insights, and recommendations to support operational and strategic decision-making
- Partner with leadership to understand business drivers and improve financial performance
- Support system management, integrations, and process improvements
- Perform other duties as assigned
- Strong knowledge of GAAP and financial reporting
- Proficiency in Microsoft Office; advanced Microsoft Excel skills required
- Experience with Service Titan and/or QuickBooks preferred
- Experience working in or alongside a shared services accounting model preferred
- Ability to operate independently while coordinating across teams
- Strong organizational and time management skills
- Strong analytical thinker with the ability to identify trends, discrepancies, and opportunities
- Ability to connect transactional data to financial outcomes
- Detail-oriented with the ability to maintain a big-picture perspective
- Comfortable building and improving processes in a growing environment
- Excellent communicator with the ability to translate financial data into meaningful insights
- Accountable, proactive, and self-directed
- Flexible and adaptable in a dynamic environment
- Bachelor’s degree in accounting required
- 5–8 years of progressive accounting experience required
- Experience in a standalone or small-team environment strongly preferred
- CPA a plus