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DATE ADDED: Thu 05/12/2019

Financial Controller

Duxbury, MA, US


JOB TYPE: Permanent, FullTime

Atlantic Therapeutics (AT) is a growing organisation with an exciting product that changes people’s lives. Do you want to be part of an industry-disrupting business? Our product is the only non-invasive product on the market that actively treats the root cause of bladder weakness, not just the symptoms. We are building a team of people with the belief, passion and expertise to make our business a success and positively influence our customers’ quality of life. Our vision is to enable millions of people each year to restore their pelvic floor, and thereby restore their control, confidence and active lifestyle. Job Title We have an exciting opportunity for a Financial Controller and Business Partner for our new U.S. subsidiary, with responsibility for the management of the U.S. finance and administration function and establishment and maintenance of the financial practices and processes for this rapidly growing ambitious early stage organisation. What’s important: Providing financial partnership to the business, with excellent analytical skills and the ability to provide commercial insights to inform business strategy and direction. The ability to communicate clearly and concisely . Ability to work in a fast changing, rapidly growing organization and with the ability to adapt approach as needed. Self-starter , able to operate under minimal supervision. The day to day: Support the General Manager and leadership team to develop budgets and strategic plans, plus other reports and presentations to senior management and the board as required. Support the General Manager in ensuring delivery of the company’s financial objectives. Develop business cases and scenario planning in support of the operation’s business plans and strategic objectives. Take the lead on specific initiatives, responsibilities and ad-hoc projects as required. Creation and preparation of monthly and annual reports, KPIs and other measures to identify results, trends, forecasts and other information required to support the business plan. Provide insightful, commercially focused commentary on performance against the business plan. Ensure compliance with and preparation of all external reporting according to US and International GAAP. Ensure company compliance with all US State and Federal tax requirements including calculation and submissions of sales, property and income tax returns. Management of all finance functions within the US business covering P&L, Balance sheet and Cash Flow management, including accounts receivable, accounts payable, fixed asset registers, payroll, taxes etc. Assist in the ongoing development of the company’s ERP systems. Be a flexible team member by sharing knowledge and supporting continuous improvement initiatives to deliver process efficiencies, improve quality of work and create appropriate best-in-class processes and procedures. Maintain strong working relationships with banks, auditors, internal customers and colleagues. Where you’ve come from: You should have a relevant Degree and a CPA/CIMA qualification or equivalent with approximately 3 years PQE Who you are: Business and performance focused. Highly analytical and ability to demonstrate strong commercial acumen. Ability to multi-task - capable of prioritising work in the context of rapid, sometimes repeated, revisions to priorities. Systematic and orderly – ability to work to deadlines and achieve targets. Ability to work on own initiative; proactive. Self-sufficient, and strategic in approaching new challenges / projects. High level of competence with systems i.e. ERP, Microsoft Office etc. Strikes appropriate balance - analysis: action Attention to detail ; accuracy and thoroughness of proofreading, and numerical excellence. Friendly; collaborative in work style and team player. Highly flexible and energetic in approach with a positive “Can-do” attitude. Excellent written and oral communication skills.