Company
Confidential, retained search on behalf of a high growth bakery brand
Location
Utah
About the role
We are conducting a confidential search for a Senior Accountant for a growing bakery brand. This is a key accounting and finance role for someone who can live comfortably in the details while also helping ownership understand the bigger financial picture.
You will support accounting across a dozen plus related entities, including AP, AR, reconciliations, month end close, reporting, cash visibility, and financial analysis. This is a great fit for someone who is organized, detail oriented, practical, and comfortable managing a high volume of accounting activity across multiple entities.
What you will own
Multi entity accounting
- Support accounting activity across a dozen plus related entities
- Maintain clean books, schedules, and records by entity
- Track intercompany activity and help keep entity level reporting accurate
- Support entity level reconciliations, allocations, and month end close
- Help create consistent accounting processes across the organization
AP and AR
- Own accounts payable and accounts receivable workflows
- Review, code, and process vendor invoices
- Maintain vendor records, payment schedules, and supporting documentation
- Track customer payments, deposits, receivables, and outstanding balances
- Follow up on missing documentation, payment questions, and invoice discrepancies
- Support weekly payment runs and cash planning
Core accounting
- Manage reconciliations, journal entries, accruals, and account schedules
- Keep financial records clean, accurate, and current
- Support banking, credit card, balance sheet, and general ledger reconciliations
- Identify gaps, errors, trends, and areas of financial risk
- Create repeatable accounting processes that improve consistency and accuracy
Month end close and reporting
- Support and improve the monthly close process
- Prepare financial statements, account reconciliations, and management reports
- Track key business metrics and help ownership understand what the numbers are saying
- Create reporting that is clear, useful, and tied to business decisions
- Maintain accurate entity level reporting across locations, concepts, and related entities
Cash flow and expense management
- Monitor cash activity and support cash flow visibility
- Review vendor payments, expenses, purchasing activity, and credit card transactions
- Help tighten controls around spend, approvals, and documentation
- Support banking, credit card, and balance sheet reconciliations
- Help ownership understand upcoming cash needs, payment timing, and financial priorities
Financial analysis and business support
- Analyze sales, labor, food cost, waste, inventory, margins, and entity level performance
- Partner with operations to identify opportunities to improve profitability
- Support budgeting, forecasting, cash flow planning, and variance analysis
- Build simple financial models, reports, and dashboards as needed
- Translate financial information into practical insights for ownership and operators
Payroll, vendors, and outside partners
- Coordinate with tax partners, and outside accounting resources
- Support payroll review, labor reporting, and related reconciliations
- Maintain vendor records, payment schedules, and required documentation
- Help organize information for tax, audit, lending, or investor needs
- Follow up quickly and professionally with vendors, partners, and internal stakeholders
Growth readiness
- Build accounting and finance rhythms that can scale with the brand
- Improve visibility into cash, profitability, labor, inventory, and cost trends
- Support system improvements, reporting enhancements, and financial process upgrades
- Help create simple dashboards, scorecards, and tools that leaders can actually use
- Bring discipline to the numbers without overcomplicating the business
What success looks like in the first 90 days
- You understand the current financial picture and identify the biggest accounting and reporting priorities
- You strengthen the close process, reconciliations, reporting cadence, and financial controls
- You create clearer visibility into cash, payables, receivables, payroll, sales, labor, food cost, and entity level performance
- You bring better organization to AP, AR, vendor records, account schedules, and entity level reporting
- You build trust with ownership by being accurate, responsive, and practical
- You help the business make better decisions with cleaner numbers and clearer financial insight
Must have
- Strong accounting experience in a growing business environment
- Experience working with multiple entities, locations, departments, or business units
- Ability to own AP, AR, reconciliations, journal entries, accruals, and month end close
- Comfort managing high volume accounting details without losing accuracy
- Strong understanding of P and L, balance sheet, cash flow, and basic financial controls
- Ability to support both transactional accounting and higher level financial analysis
- Strong organizational skills and the ability to keep multiple entities clean and current
- Practical, business minded approach to accounting and finance
- Comfort working directly with ownership, operations, vendors, and outside partners
- Ability to explain financial information clearly to non finance leaders
Strong plus
- Multi entity accounting experience
- Restaurant, bakery, food service, retail, hospitality, or multi unit experience
- Experience with intercompany transactions, allocations, and entity level reporting
- QuickBooks, NetSuite, Restaurant365, MarginEdge, Toast, Square, Bill.com, Ramp, or similar
Systems experience
- Inventory, food cost, labor, margin, or store level reporting experience
- Budgeting, forecasting, cash flow planning, or financial modeling experience
- Experience working with outside CPA firms, payroll providers, lenders, or investors
Confidential search details
This is a confidential retained search. We will share full details, including the organization’s structure, growth plans, and current financial setup, with qualified candidates during the process. All inquiries will be handled discreetly.