Director of Finance & Accounting

Doppio Group
Nashville, TN, US
Posted May 8, 2026

Doppio Group, a privately held, profitable, growing IT services firm, is seeking a Director of Finance \& Accounting to own accounting and build the finance function. Reporting to the COO, this role operates as a strategic partner to the CEO and COO while remaining deeply hands\-on in day\-to\-day accounting and financial operations.

This is a build role, not a layer. You will be the point person for accounting and finance, taking full ownership of the function while evolving it from strong accounting operations into a more forward\-looking finance capability.

You’ll work across a mix of revenue models including project\-based consulting, managed services, and milestone\-driven delivery work. This requires someone who understands how revenue, billing, and cash flow actually behave in a professional services environment, not just how they’re reported.

The right person enjoys operating in a lean environment where you are both the owner and the doer who is comfortable closing the books, managing invoicing and payroll, and at the same time building forecasts, improving visibility, and helping leadership make better decisions.

In this role, you will manage full\-cycle accounting and finance for our global operations (US, Canada, and India). You will collaborate with our fractional CFO, manage our Senior Accountant/Financial Analyst, and have dotted line leadership of our accounting operations person in India. This role encompasses the entirety of the accounting and finance function and you will assume increasingly strategic responsibilities as you develop the finance function.

Salary range: $120,000\-$150,000 annually depending on experience.

While this role will be primarily remote, we seek someone located in the Nashville area available for in\-person collaboration with the COO 1\-2 times/month.

What You'll Be Doing

Financial Operations \& Accounting

Own the general ledger, month\-end close process, and financial reporting across all entities (US, Canada, India)

Manage accounts payable, accounts receivable, and billing processes tied to project\-based consulting work and managed services

Oversee twice\-monthly payroll processing for US and Canada employees and contractors, including benefits administration (401k, RRSP, health insurance)

Handle revenue recognition, accruals, and journal entries for both professional services delivery and managed services revenue models.

Prepare monthly, quarterly, and annual consolidated financial statements; support external audit and tax preparation processes for the US and Canadian entities.

Manage banking relationships, monitor cash flow, oversight of cash investments, and ensure proper separation of duties over banking activities

Manage payroll for US and Canadian personnel.

Strategic Finance \& Planning (in partnership with fractional CFO)

Support board\-level financial reporting: P\&L, balance sheet, cash flow statements, and executive dashboards

Develop and maintain annual operating budgets; create forecasts and variance analysis

Build financial models and analysis by client, service line, and project margin to support decision\-making

Manage monthly revenue forecasting and cash flow projections

Partner with CEO and COO on financial strategy, growth planning, and business performance analysis

Systems, Process \& Infrastructure Improvement

Review and modernize accounting systems; evaluate consolidating separate US/Canada QuickBooks instances into enterprise solution

Assess payroll systems; explore consolidation into single multi\-currency platform. Manage

Strengthen internal controls, financial policies, and approval workflows

Improve invoicing processes, templates, and automation where possible

Build scalable financial reporting infrastructure and dashboards as the company grows

Governance, Risk \& Compliance

Manage tax compliance including quarterly filings, annual returns, and coordination with external tax advisors

Navigate S\-Corp shareholder/tax structure complexity; participate in the evaluation of potential conversion to C\-Corp

Support employee benefit renewals and business insurance renewals from financial and risk mitigation perspective

Contribute to cybersecurity and risk management initiatives

  • Contribute to contract review and governance such as:
  • Support legal document review (e.g. client contract language, partner and vendor agreements, W\-9s) ensuring correct references to legal entities, etc.
  • Ensuring that MSAs are signed before SOWs,
  • Ensuring that fully executed agreements are properly stored

Team \& Stakeholder Management

Serve as primary point of contact for employee payroll, benefits, and finance questions

Collaborate with project managers on billing, invoicing, and customer questions

Work closely with fractional CFO and external advisors (tax accountants, auditors, legal counsel)

What You Bring

Required Qualifications

7\+ years of hands\-on accounting and finance experience, ideally in professional services, consulting, or technology services

Strong understanding of GAAP and revenue recognition in project\-based environments

Experience owning month\-end close, financial reporting, and core accounting processes

Demonstrated ability to work in lean, fast\-paced environments where you wear multiple hats

Advanced Excel skills (e.g pivot tables, formulas, VBA/Power Query for modeling)

Experience with accounting systems (QuickBooks or similar)

Excellent communication skills and ability to translate financial information for non\-finance stakeholders

While work will be primarily remote, we will only consider candidates in the Nashville or Chicago areas.

Nice to Have

Experience with global operations, multi\-entity structures, or managing accounting across multiple geographies

Accounting degree, CPA preferred but not required

FP\&A experience including budgeting, forecasting, and financial modeling

Exposure to risk management, contract review, or legal governance

Experience at a startup or growth\-stage company where you've helped scale finance operations

Familiarity with S\-Corp to C\-Corp conversions, corporate structure decisions, or equity matters

Experience implementing or migrating to new accounting, payroll, or ERP systems

A Bit About Us

Founded in 2013, Doppio is a global technology consulting firm with presence in Chicago, Vancouver, and Bangalore, and additional remote team members across North America and India. Our work focuses on supply chain integration and data automation. Specifically, we build and support integrated solutions for manufacturing, distribution, equipment rental, and footwear/apparel companies.

Our clients turn to us because of our deep expertise with Infor M3 ERP and because we take accountability for the work we do. We approach our work with clients in a 'we are in this together' manner.

We are anchored in our core values of Teamwork, Ownership, Integrity, and Respect and pride ourselves on our culture of collaboration. Our values drive and inspire us to do better day after day, project after project. Doppio strives to be the best Infor partner to work with and to work for.

Don't meet every qualification? We encourage you to apply anyway. Research shows that members of underrepresented groups tend to apply only when they meet 100% of the qualifications. If you're excited about this role and believe you have the core skills to succeed, we want to hear from you.

Sounds like you? Please click the Apply Now button and submit your resume.

Job Details

Job Type

admin_data_entry

How to Apply

This job has specific application instructions. Please read the full job description carefully.

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Original job posting from: Indeed_linkedin

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