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Manager of M&A

Roofing Supply Company

This is a Full-time position in Herndon, VA posted March 8, 2018.


• Bachelor of Science degree in Finance or Accounting; CPA, CMA, and/or MBA preferred5+ years of M&A experience (i.e. transaction advisory services)
• Strong executive presence and interpersonal skills are required
• Advanced verbal and written communication skills are required
• Proficiency with Microsoft Office products (i.e. Excel, PowerPoint, Word) is required; an advanced understand of Excel is preferred
• Demonstrated success working on projects independently
• Strong understanding of the financial statements and accounting rules & terminology
• Ability to meet deadlines while facing high-pressure conditions
• Demonstrate a high-level of attention to detail
• Experience working in the building materials industry is preferred
• Up to 30% travel may be required.


Our client is currently seeking a M&A Finance Manager/Senior Analyst Herndon, VA office. This position will report to the Director of Financial Planning & Analysis. Job Duties include:

• Develop a pro forma model to value potential acquisition targets, considering such items as historical add backs, future synergies & dis-synergies, the impact of purchase accounting, discounted cash flow, return on invested capital, internal rate of return, etc.
• Participate in valuation and pricing strategy discussions with members of the Corporate Executive team
• Review and decipher all of the financial documents provided by the prospective acquisition target Due Diligence/Pre-Close
• Engage with the Seller’s finance representatives to discuss all aspects of the financial due diligence process; tasks will include understanding the external & internal dynamics driving the historical financial statements, assessing the current state of the finance/accounting processes & controls, discussing the roles and responsibilities of key employees, etc.
• Calculate the working capital target, present the assumptions to the Sellers, and negotiate a fair level of working capital for closing
• Prepare the Board Book presentation that provides the Board of Directors with the all of the pertinent information needed to make an informed vote on each acquisition
• Perform a financial statement reconciliation by tying out system-generated trial balances to the consolidated financial statements
• Manage the funds flow documentation to ensure a smooth execution of the payment on the transaction date
• Establish a finance & accounting due diligence calendar to guide the Sellers through the process Post-Close
• Determine the final working capital balance as of the closing, review with the Sellers, and agree on the appropriate action to true-up to the target
• Engage with the Accounting team to determine the fair market value of the acquisition’s tangible and intangible assets
• Prepare the final purchase price allocation document for tax purposes
• Assist with acquisition related financial reporting requests on an ad-hoc basis.


How to Apply

Application deadline: July 1, 2018