Finance Integration Manager
CRH
Austin, TX · Onsite · Full Time
Posted
Job description
Job ID: 526073 CRH's Americas Materials, a division of CRH, is the leading vertically integrated supplier of aggregates, asphalt, ready mixed concrete and paving and construction services in North America. Our operations span North America with over 28,000 employees at close to 1,600 locations in 43 US States and 2 Canadian provinces. Position Overview Reporting to the Texas Director of Process Excellence, the Finance Integration Manager is responsible for leading all finance‑related integration activities for mergers and acquisitions, from pre‑close planning through post‑close stabilization. This role ensures the acquired business is seamlessly integrated into the company's financial systems, controls, processes, and reporting environment while maintaining business continuity and compliance. The Finance Integration Manager partners closely with Corporate Development, Accounting, FP&A, Tax, Treasury, IT, HR, and Operations to deliver a disciplined, timely, and value‑focused integration that supports synergy realization and long‑term performance. Key Responsibilities (Essential Duties and Functions) Act as the primary finance point of contact for acquired business leadership during integration. Perform financial integration assessments, including systems, accounting policies, internal controls, reporting, and working capital considerations. Develop detailed finance integration plans, timelines, and resource requirements aligned to overall integration strategy. Support financial due diligence by identifying integration risks, data gaps, and post‑close requirements. Ensure Day‑1 finance readiness, including banking, cash management, payroll, AP/AR, billing, and financial close processes. Coordinate the transition of financial responsibilities from the seller to the company, minimizing disruption to ongoing operations. Establish interim and permanent financial controls and approval workflows. Lead the integration of financial systems, including general ledger, billing, payroll, POS, and reporting platforms, in coordination with IT and finance teams. Oversee chart of accounts mapping, data migration, and validation to ensure accurate and consistent financial reporting. Manage the execution of finance integration plans through stabilization and "go‑live" milestones. Monitor integration progress, resolve issues, and escalate risks as needed. Partner with FP&A to t…