About the Role:We are seeking a highly experienced and strategic Controller to join our growing team. This key role will oversee complex financial transactions, ensure accurate and timely financial reporting, and maintain strict compliance with accounting standards and regulatory requirements.
The ideal candidate brings deep expertise in municipal bonds, infrastructure finance and general accounting, serving as a financial backbone to both operations and strategic initiatives. This role combines traditional accounting responsibilities with forward-looking financial planning and analysis, offering a unique opportunity to shape the financial direction of impactful infrastructure and investment projects.
About the Company:Infinity Water Solutions is a fully-integrated sustainability, technology, and water management company dedicated to developing, owning, and operating water infrastructure in Lea and Eddy Counties, New Mexico. Our work supports the energy sector by providing innovative, environmentally responsible water solutions. We specialize in surface land acquisition, permitting, and regulatory compliance—ensuring our projects meet all state and local requirements while advancing circular economy principles. As a leader in responsible water reuse and infrastructure development, Infinity is committed to building partnerships that promote long-term sustainability and regional economic growth.
Key Responsibilities:Financial Reporting & Compliance:- Oversee the preparation of timely and accurate financial statements in compliance with GAAP, GASB (Governmental Accounting Standards Board), IFRS, and SEC regulations.
- Manage quarterly and annual audits, ensuring compliance with regulatory and reporting standards for municipal bonds and infrastructure finance.
- Ensure adherence to SEC Rule 15c2-12, MSRB reporting, and continuing disclosure obligations for municipal bond issuers.
Municipal Bond Accounting & Reporting:- Manage accounting for municipal bond issuances, tax-exempt financing, and revenue bond structures.
- Track bond proceeds, debt service schedules, arbitrage compliance, and amortization schedules.
- Coordinate Continuing Disclosure Reports (CDRs) and compliance filings for municipal bond issuers.
- Ensure compliance with IRS tax-exempt bond regulations, including arbitrage rebate calculations.
Cost Management & Operational Reviews:- Work closely with operations teams to monitor costs, compare them to budgets and forecasts, and manage per barrel costs and margins.
- Preparation of monthly financial close cycle to facilitate the production of timely and accurate financial statements.
- Develop and maintain reporting tools to enhance the cost review process and support operational teams in tracking key performance indicators.
Accounting & Internal Controls:- Establish and maintain internal controls to safeguard assets and ensure financial integrity.
- Oversee consolidations, intercompany transactions, and investment structures.
- Manage capital accounting, debt financing, and infrastructure investment vehicles.
- Optimize accounting policies for project finance, M&A transactions, and public-private partnerships (P3s).
Treasury & Cash Flow Management:- Monitor and manage liquidity, working capital, and fund movements for infrastructure investment and municipal bond financing.
- Oversee bond fund accounting, debt service reserve funds, and sinking funds to ensure optimal financial structure and liquidity.
Systems & Technology:- Lead the implementation and optimization of financial systems like NetSuite, (or similar ERP software like SAP, Oracle Financials, Microsoft Dynamics, or Workday Financials).
- Integrate municipal bond reporting systems, BI tools, and financial modeling software.
- Automate and enhance financial workflows, bond tracking, and forecasting through data analytics.
Strategic Financial Planning & Collaboration:- Collaborate with executives, investment teams, and municipal advisors to provide insights on financial performance and strategic growth.
- Support due diligence for M&A, infrastructure projects, municipal debt issuance, and capital raising efforts.
- Drive cost optimization initiatives and efficiency improvements across operations.
Qualifications & Experience:- Education: BS/BA (or higher) in Accounting, Finance, or related field. CPA preferred. CFA or MBA is a plus.
- Minimum of 7 years, desired 10+ years of experience in accounting, finance, or investment banking, with a strong focus on infrastructure finance and municipal bond accounting.
- Experience in midstream or upstream accounting, municipal bond issuances, and project finance.
- CPA, CFA, or MBA preferred.
- In-depth knowledge of GAAP, GASB, IFRS, SEC reporting, and MSRB regulations.
- Experience working with municipal bonds, tax-exempt financing, and investment structures.
- Proficiency with NetSuite, SAP, Oracle Financials, Microsoft Dynamics, Workday Financials, or other ERP systems.
- Strong skills in Excel, Power BI, Tableau, or financial modeling tools.
- Previous experience in a Big 4 accounting firm, investment bank, or municipal finance advisory firm is a plus.
Key Skills:- Financial Reporting & Compliance
- Municipal Bond Accounting & Reporting
- Investment Banking & Infrastructure Finance
- Cost Management & Operational Reviews
- Treasury & Liquidity Management
- Internal Controls & Accounting Systems
- Budgeting, Forecasting & Arbitrage Compliance
Why Join Us?This is a high-impact role at the intersection of finance, infrastructure, and innovation. As Controller, you’ll collaborate across departments on transformative infrastructure and investment projects, helping to shape the future of sustainable development in the energy sector and beyond. We value integrity, hard work, and a shared commitment to building a strong, inclusive organizational culture. You'll find opportunities for meaningful impact, ongoing career development, and long-term professional growth.