Regional FP&A Leader
Job Title: Financial Planning & Analysis Leader
Operating Company: Air Control Concepts, LLC.
Job Location: Remote in TN/VA or PA
FLSA Status: Exempt
About
AIR Control Concepts, LLC. is a global platform of premier HVAC, electrical, & controls organizations operating across North America – now expanding into Europe, the Middle East, and Africa. Each company within the AIR family maintains its local culture and customer relationships, while gaining access to shared resources, advanced technology, strategic capital, and operational expertise.
Description
The Regional FP&A (Financial Planning & Analysis) Leader plays a critical role in shaping the financial visibility and performance management framework for one or more regions within AIR Control Concepts, a multi-billion-dollar national platform comprising 50+ operating companies. This role is both strategic and foundational: it not only supports ongoing reporting, forecasting, KPI analysis, and planning cycles, but also plays a leading role in building, standardizing, and maturing the FP&A function across regions. Because much of the FP&A infrastructure is new or evolving, the Regional FP&A Leader will help define the structure, tools, cadence, models, and standardized reporting packages that will ultimately span the entire platform. This individual partners with the field, operations, accounting, and corporate leadership to provide insight-driven analysis and ensure that financial and operational performance is clearly understood, consistent across regions, and connected to decision‑making and planning.
Essential Duties & Responsibilities
Regional Reporting & Analysis (Multi‑Region Support)
Prepare and consolidate monthly, quarterly, and annual regional reporting packages across one or more regions
Deliver analysis of P&L, balance sheet, and cash flow results under US GAAP (and IFRS where applicable)
Develop clear performance narratives with insight into drivers, trends, and variances
Build reporting consistency across regions—standard templates, KPIs, definitions, and review cadence
Budgeting, Forecasting, & Long‑Range Planning
Lead the annual budget cycle for all assigned regions
Own monthly and quarterly forecast updates, ensuring assumptions are vetted and aligned across regions
Build scalable, region‑focused forecasting models that can be reused and adapted as the platform grows
Partner with operating leaders to strengthen forecasting accuracy and accountability
13‑Week Cash Flow Forecasting
Prepare and maintain 13‑week cash forecasts for multiple entities and multiple regions
Identify liquidity risks, timing challenges, and working capital needs
Coordinate with Treasury, RFCs, and RFLs to ensure accurate cash forecasting inputs
KPI Tracking, Insights, & Performance Management
Develop and maintain KPI dashboards across all assigned regions—revenue, margins, labor, overhead, cash, DSO, DPO, job mix, etc
Analyze operational and financial drivers to identify actionable trends
Support RFLs and regional leadership teams with insight that informs pricing, labor decisions, operational planning, and financial priorities
Standardize KPI definitions and reporting across all regions
Business Partnering Across Finance & Operations
Act as a strategic finance partner to Regional Finance Leaders and regional operations teams
Support leaders in understanding financial results, drivers, and improvement opportunities
Build strong working relationships with Corporate FP&A, Corporate Accounting, and regional controllers
Communicate complex financial information in a clear, non‑technical way to operational leaders
Sales Operations & Variable Compensation
Provide insights into sales productivity, pricing trends, hit rates, and revenue mix
Contribute to designing and refining standardized sales compensation models across regions as the platform matures
Integrating Newly Acquired Companies
Bring acquired companies into the FP&A ecosystem by:
establishing reporting formats & review packages
onboarding them into forecasting & budgeting processes
aligning KPIs & performance metrics
helping them adopt standardized FP&A tools and cadence
Identify early performance opportunities and integration challenges
Standardization, Process Buildout, & Continuous Improvement
Establishing standard templates, processes, and reporting structures for all regions
Creating scalable models, KPI dashboards, and automated workflows
Improving data quality, structures, and visibility across systems and teams
Driving Finance Transformation workstreams related to reporting, analytics, forecasting, and planning
Supporting systems implementation, tool selection, and future‑state integration
Identifying operational and financial improvement opportunities
Completing ad‑hoc projects, analyses, and strategic initiatives
Experience & Requirements
Bachelor’s degree in Accounting, Finance, Business, or related field
8+ years of FP&A, financial reporting, or analytical experience, ideally in multi‑entity or operational settings
Strong understanding of GAAP fundamentals; IFRS exposure a plus
Experience supporting budgeting, forecasting, KPI reporting, and cash flow modeling
Expertise building financial models and dashboards (Excel required; BI/Consolidation tools a plus)
Experience in multi‑region, multi‑entity, or acquisitive environments strongly preferred
Ability to navigate ambiguity and build structure where structure does not yet exist
Excellent communication skills—able to work with both accounting teams and field/operational leaders
Experience supporting sales incentive compensation programs strongly preferred
Benefits
Health & Wellness — Medical, dental, vision, and life insurance coverage to support your well‑being.
Financial Security — 401(k) retirement plan with company match and short/long‑term disability coverage.
Work‑Life Balance — Paid time off (PTO), paid holidays, and employee assistance program (EAP).
Professional Development — Ongoing training opportunities and support for continuing education.
AIR Control Concepts LLC. Is Equal Opportunity Employer.
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