Acquisition Finance Integration Lead

Orion Services Group

New York (NY)

Hybrid

USD 140,000 - 210,000

Full time

15 hours ago
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Job summary

Orion Service Group seeks a Manager of Finance Integration to own the finance workstream across acquisitions, from late-stage diligence through the first close. This role sits on the Corporate Controllership team and reports to the VP, Corporate Controller.

You will be on the ground with newly acquired companies, standing up opening balance sheets, migrating their accounting onto our processes and leading audit readiness across the network.

Qualifications

  • Hands-on accounting depth, including opening balance sheets and working capital
  • Experience with business combinations and purchase price allocation
  • Experience with quality of earnings and transaction diligence
  • Ability to form views on tax and legal exposure during target assessment
  • Proven ability to stand up accounting processes and write frameworks
  • Direct involvement in accounting system implementations or migrations

Responsibilities

  • Pre-Close: support deal team, test earnings quality, assess accounting exposure
  • Post-Close: open balance sheet, migrate to Orion processes, be audit-ready
  • Framework: maintain playbooks, templates, and lead schedules for scalable onboarding
  • Reporting: collaborate with Group VPs of Finance and Integrations Manager
  • On-site presence: travel 50%+ to acquired companies and lead finance workstreams

Skills

Hands-on accounting
Quality of earnings
Transaction diligence
Financial controls
System migration
Communication

Education

Bachelor's degree in accounting/finance
CPA (preferred)

Tools

COINs
Sage Intacct
FloQast
monday.com

Job description

Orion Service Group seeks a Manager of Finance Integration to own the finance workstream across acquisitions, from late-stage diligence through the first close. This role sits on the Corporate Controllership team and reports to the VP, Corporate Controller.

You will be on the ground with newly acquired companies, standing up opening balance sheets, migrating their accounting onto our processes and leading audit readiness across the network.

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