Controller

Redtail Renewables

Dallas (TX)

On-site

USD 100,000 - 135,000

Full time

14 days+

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Benefits offered by this job

Competitive base salary
Performance incentives

Job summary

Redtail Renewables, a leader in renewable natural gas development, is seeking a Controller in Dallas, TX. This key position entails managing financial operations, ensuring compliance, and supporting project finance activities. The ideal candidate possesses a CPA and has over 15 years of progressive experience in accounting, particularly in project-related sectors.

The role requires strong analytical skills, proficiency in financial software, and the ability to oversee complex financial reporting and audits.

Qualifications

  • 15+ years of progressive accounting experience, including public accounting and industry experience.
  • Proficient in project accounting for large-scale infrastructure or energy projects.
  • Strong analytical skills to interpret financial data and provide recommendations.

Responsibilities

  • Manage all financial activities for Redtail Renewables.
  • Oversee accounting and financial reporting, tax, and financial controls.
  • Produce GAAP-compliant financial statements and lead audit processes.
  • Administer cash management and oversee accounts payable/receivable.

Skills

Progressive accounting experience
Project accounting
Financial modeling
Analytical skills
CPA

Education

Bachelor's degree in Accounting, Finance, or related field

Tools

Financial software
Excel

Job description

Redtail Renewables is a private equity–backed renewable natural gas (RNG) developer focused on converting landfill gas into clean, low-carbon fuel. Our team has developed and financed multiple RNG projects across the U.S. in partnership with leading waste management companies, utilities, and institutional investors. Redtail combines disciplined project finance expertise with a mission-driven focus on sustainability, execution excellence, and long-term value creation.

Position Summary

We are seeking a Controller who will be responsible for managing all financial activities for Redtail Renewables, with a focus on supporting the financial operations of renewable energy projects, particularly landfill Renewable Natural Gas (RNG) developments. This position will oversee accounting and financial reporting, treasury, tax, and financial controls, ensuring the company's financial health and alignment with its strategic growth initiatives. The Controller will report to the CFO and work closely with senior leadership to manage financial risk, maximize profitability, and ensure the accuracy of financial data.

Job Duties & Responsibilities
  • Own the monthly, quarterly, and annual close across multi-entity structure, including project level entities and the corporate holding company
  • Prepare accurate, GAAP-compliant consolidated and entity level financial statements on a timely basis
  • Maintain general ledger, chart of accounts, and supporting schedules; ensure reconciliations are complete and well documented
  • Lead external audit, serving as primary liaison to auditors and ensuring timely, clean completion
  • Produce reporting packages and ad hoc analyses for management, the board, lenders, and investors
  • Oversee project-level and corporate financial statements to ensure accuracy, compliance, and timely submission.
Project and Operational Finance
  • Track project costs against AFEs and budgets across development, construction, and operating phases
  • Administer the CapEx control framework, including capitalization policy, in-service determinations, and fixed-asset roll‑forwards.
  • Support construction‑period accounting, including draw schedules, capitalized interest, and contractor/vendor cost tracking.
  • Partner with project and commercial teams to build and maintain project budgets, forecasts, and cost‑to‑complete analyses
Treasury, AP/AR & Cash Management
  • Oversee accounts payable and receivable, including the Ramp/AP workflow, approval routing, and vendor management.
  • Manage cash forecasting and liquidity across all entities
  • Administer banking relationships at the operational level and maintain supporting documentation for debt servicing
Regulatory Compliance and Taxation
  • Coordinate federal, state, and local tax filings with external advisors across the company's multi‑state footprint.
  • Support tax‑credit and incentive workstreams (e.g., ITC, prevailing‑wage/apprenticeship, and domestic‑content documentation), maintaining audit‑ready support.
  • Ensure compliance with applicable accounting standards and regulatory reporting requirements.
Controls, Payroll, and Systems
  • Maintain and improve internal controls appropriate to a growing, PE‑backed platform
  • Oversee multi‑state payroll processing in coordination with payroll provider and reconcile payroll to GL
  • Administer accounting and expense systems; drive automation and process improvement across close, AP/AR, and reporting
  • Support employee benefits and corporate/project insurance programs from an accounting and compliance standpoint
Required Skills & Experience
  • Education: Bachelor's degree in Accounting, Finance, or a related field. CPA required.
  • Experience: 15+ years of progressive accounting experience, including public accounting experience and industry experience within energy, renewable energy, infrastructure, construction, or project‑based businesses.
  • Project Accounting: Proven experience managing project accounting for large‑scale infrastructure or energy projects, including cost tracking and CapEx management.
  • Technical Skills: Proficiency in financial software, accounting systems, and Excel for financial modeling and analysis.
  • Analytical Skills: Strong ability to interpret financial data, conduct variance analysis, and provide actionable recommendations.

Location: Dallas, TX (Houston, TX also considered)

Employment Type: Full‑time

Work Hours: Monday – Friday; standard business hours

Compensation: Competitive base salary + performance incentives

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