Financial Controller (US GAAP & Tax Compliance) at HealthTech

Уровень дохода не указан

Опыт работы: более 6 лет

Полная занятость
Рабочие часы: по договорённости

Формат работы: удалённо

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Our partner, an innovative company in the HealthTech sector, is looking for a Financial Controller (US GAAP & Tax Compliance)

Position Summary

We are looking for a multitasking and ambitious professional who can make quick decisions in an uncertain environment, build efficient financial processes, and influence strategic decisions.You will work closely with the CFO to ensure financial stability, transparency, and support for business scaling. This role requires high responsibility, the ability to work across multiple areas simultaneously, and a deep understanding of both strategic and operational aspects of financial management.

Key Responsibilities

1. Financial Strategy and Planning

  • Collaborate with the CFO and COO to formulate and execute financial strategies aligned with the company’s mission and 2025 goals.
  • Develop and maintain advanced financial models for budgeting, forecasting, and scenario analysis.
  • Conduct ROI assessment and provide actionable insights by analyzing financial performance and tracking key metrics, including revenue growth, cash flow, and profitability.

2. Capital Management and Budget Oversight

  • Collaborate with the CFO and COO to design and implement budget policies and systems to meet strategic milestones.
  • Oversee reinvestment of funds to maximize outcomes.
  • Ensure financial security through effective cash flow management, maintaining sufficient reserves and managing credit transparently.

3. Accounting and Compliance

  • Develop accounting policies and procedures, ensuring alignment with IFRS, US GAAP, and other regulatory standards.
  • Supervise statutory reporting, tax filings, and external audits while ensuring accuracy and compliance.
  • Implement and optimize business processes for the financial unit, automating workflows to increase efficiency.
  • Manage income tax projections and ensure timely payments of corporate income tax advances.
  • Supervise the work of local accountants and financial consultants responsible for tax reporting in the U.S.

4. Risk Management

  • Identify, assess, and mitigate financial, legal, and tax-related risks, ensuring the company’s financial stability and compliance.
  • Ensure financial integrity during critical events such as fundraising and strategic partnerships.

5. Operational and Strategic Financial Support

  • Establish and manage rolling financial forecasting, long-term strategic planning, and business review cycles.
  • Collaborate with cross-functional teams to refine financial tools, systems, and processes that enhance operational efficiency and decision-making.
  • Calculate economic efficiency and investment attractiveness of projects, presenting financial models and analyses to stakeholders.
  • Drive cost optimization, including R&D project costing, product costing, and supply chain finance, in collaboration with HRD and the CTO.

6. Management Reporting and FP&A

  • Prepare and customize monthly, quarterly, and annual management reporting to meet business needs and ensure decision-making alignment.
  • Support and improve FP&A processes, including rolling forecasting, investment analysis, and financial performance reviews.
  • Visualize reports and compile financial-economic forecasts for the executive team.

Key Competencies

  • The ability to work in a fast-changing environment, quickly respond to new challenges, and find solutions.
  • Advanced expertise in financial management, with a strong focus on financial planning, analysis, and reporting (US GAAP, IFRS).
  • Proven ability to develop and implement accounting policies, financial models, and control systems.
  • Strong background in tax strategies, risk assessment, and financial compliance.
  • Excellent communication, leadership, and problem-solving skills, with a proven track record of cross-functional collaboration.
  • Ability to align financial strategies with long-term organizational goals, delivering actionable insights and driving outcomes.

Nice-to-have

  • Experience in automation of financial workflows, ERP implementation, and process optimization.
  • Proficiency in capital management, liquidity planning, and working capital optimization.
  • The ability to propose improvements, optimize processes, analyze risks, and develop new strategies.

Qualifications

  • Bachelor’s degree in Finance, Accounting, or a related field; advanced certifications (e.g., CPA, ACCA, CFA) preferred.
  • 7+ years of experience in financial management, including leadership roles in IT or related industries.
  • Expert knowledge of financial modeling, budgeting, and forecasting tools.
  • Experience in managing large-scale projects, including M&A, and investment analysis.
  • Proficiency in English (upper int level or higher).
  • Strong understanding of global accounting standards, regulatory compliance, and tax frameworks.

What We Offer

  • Remote-first: work from anywhere with well-established remote processes and a distributed team.
  • Competitive salary & benefits: individually discussed compensation, equipment subsidy, access to a psychologist, stock options for key contributions, and medical insurance.
  • Flexible time off: no fixed vacation limits; plan your schedule as long as it aligns with the workload.
  • Transparency & openness: regular company updates, open communication, and a culture that values initiative and learning from experience.

How to Apply

To continue, please fill out the questionnaire available via the "Apply" button. We’ll only ask for your contact information and a link to your resume — no additional questions. We will get back to you even if it’s not the right fit. If we decide to move forward, the process will include an HR screening, an interview with the CFO and COO, and possibly a test assignment.

Ключевые навыки

  • US GAAP
  • IFRS
  • U.S. Tax Compliance
  • Финансовый контроль
  • Бюджетирование
  • Финансовый анализ
  • Корпоративные финансы
  • Аудит
  • Финансовое моделирование
  • Автоматизация процессов
  • ERP
  • Английский язык
  • Взаимодействие с аудиторами
  • Financial Reporting
  • Tax Risk Management
  • Investment Analysis
  • Internal Controls
  • M&A
  • Английский — C1 — Продвинутый
  • Русский — C2 — В совершенстве

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Вакансия опубликована 27 февраля 2025 в Тбилиси

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