Corporate Controller InfraReDx
THIS JOB HAS EXPIRED Responsibilities:
Coordinate and direct the financial planning, budgeting, procurement, or investment activities of the company.
Direct preparation of internal control policies, guidelines, and procedures for activities such as budget administration, cash and credit management, and accounting.
Direct preparation of financial statements, business activity reports, financial position forecasts, annual budgets, and/or reports required by regulatory agencies.
Oversee content and logistics for fundraising activities. Represent the Company with Bankers and Potential Investors.
Oversee all contracts, ensure that contracts have been properly reviewed prior to authorization.
Special business development projects such as collaborations and mergers and acquisitions: deal evaluation, structure, purchase accounting and due diligence.
Primary responsibility for providing management and board-level financial information. Prepare and present financial portion of board of directors? packages and presentations.
Participate as a member of the Executive Team, helping to create and execute strategic, tactical and operational plans. Advise management on short-term and long-term financial objectives, policies, and actions.
Analyze the financial details of past, present, and expected operations in order to identify development opportunities and areas where improvement is needed.
Oversee the audit processes by external auditors.
Oversee tax planning and compliance function.
Oversee stock option administration.
Delegate authority for the receipt, disbursement, banking, protection, and custody of funds, securities, and financial instruments.
Evaluate needs for procurement of funds and investment of surpluses, and make appropriate recommendations.
Lead staff training and development in budgeting and financial management areas.
Maintain current knowledge of organizational policies and procedures, federal and state policies and directives, and current accounting standards.
Supervise employees performing financial reporting, accounting, billing, collections, payroll, and budgeting duties.
Analyze financial information to produce forecasts of business, industry, and economic conditions for use in making investment decisions.
Maintain compliance with GAAP and applicable federal, state and local regulatory laws and rules for financial and tax reporting.
BS in accounting or finance (CPA preferred)
8-10+ years experience with progressively increasing responsibility
Financial modeling experience
Prior experience with accounting software conversion / MRP systems
Experience with private equity funding and stock option awards
Excellent interpersonal skills and ability to work effectively with all levels of management and staff
||34 Third Avenue |
Burlington, MA 01803
THIS JOB HAS EXPIRED