Flowhub
Location: Denver
Department: Finance
Role: Controller, Full-time
Reports to: CEO
Equity: Yes
What We’re Looking For:Seeking a passionate and goal-oriented professional to own all aspects of a rapidly growing startups’ finance and accounting needs. This is a unique opportunity to enter a growing industry with an incredibly passionate team.
Company InfoFlowhub is an enterprise cloud-based business management software platform that allows highly regulated businesses to automate processes and report data to government agencies automatically. Today, Flowhub powers some of the largest retailers and cultivators in the highly regulated cannabis industry.
Core Requirements:
Colorado CPA / Relevant professional designation (CPA, CMA, CFA) or an equivalent combination of related experience and education
3+ years public accounting experience a plus and/or at least 5 years total serving the finance and accounting needs of public and/or private companies.
Well versed in the financial close and reporting process as well as GL functions. Detailed understanding of QuickBooks preferred.
Experience in the design and implementation of COSO and SOX 404 compliant internal controls.
A passion for cannabis and the pursuit of its legalization and destigmatization.
Responsibilities
Management
Communicate and advise senior management regarding financial metrics.
Provide feedback and work with management to build out appropriate departmental budgets.
Transactions
Ensure that accounts payable are paid in a timely manner
Ensure that all reasonable discounts are taken on accounts payable
Ensure that accounts receivable are collected promptly
Oversee payroll and ensure it’s process in a timely manner
Ensure that periodic bank reconciliations are completed
Ensure that required debt payments are made on a timely basis
Maintain the chart of accounts
Maintain an orderly accounting filing system
Maintain a system of controls over transactions
Reporting
Work with sales leader to report on how we’re tracking against projections.
Compile and analyze periodic financial reporting packages.
Report financials to Board of Managers / Board of Directors
Prepare monthly financial updates for investors
Compliance
Coordinate the provision of information to external auditors
Comply with local, state, and federal government reporting requirements and tax filings
Additional Responsibilities
The design and implementation of a new COA in line with the demands of the industry and its regulations.
Assist with the implementation of new enterprise accounting and subscription management software.
Provide financial analyses as needed, in particular for capital investments, pricing decisions, and contract negotiations.
Onboard and manage supporting staff.
Primarily in-office. Will be expected to travel as needed. Work-from-home days can be arranged. Periodic weekend or evening work is expected.
Please send us your resume and cover letter to [email protected] and let us know why we'd be crazy not to meet you.