Director, Finance

Location: Atlanta, GA

Department: Finance and Accounting

Type: Full Time

Min. Experience: Experienced

OVERVIEW

At Patientco, we are building the future of healthcare payments. Our technology is helping create a better payment experience for patients and in turn, providing incredible value to healthcare providers across the U.S.  Whether you are customer facing or working diligently behind the scenes, everyone at Patientco plays a vital role in improving the healthcare experience of millions of people. It’s a big job, but we wouldn’t have it any other way!

As the Director, Finance, you will be an integral part of the team working directly to coordinate and manage our company finances.  You should have a love of getting things done and appreciative of the details because you will be responsible for managing our accounting needs, partnering across the business and providing insight for how we reach our strategic goals.   Want to undertake all aspects of financial management, financial reporting, budgets, forecasts, and business analysis?  Does that sound like you? Read on!

KEY SKILLS YOU SHOULD HAVE

  • 8+ years of overall combined accounting and finance experience ideally with both external audit and in house financial planning and analysis experience
  • Master’s degree in Accounting or Business with a CPA or CMA would be preferred
  • 2+ years managing a financial team
  • Proven working experience as a financial controller or similar duties is required
  • Thorough knowledge of accounting principles and procedures
  • Experience in developing financial models for strategic initiatives
  • Experience with creating financial statements
  • Experience with general ledger functions and the month-end/year end close process
  • Excellent accounting software user and administration skills
  • Ability to work across all organizational levels
  • Ability to analyze financial data and prepare financial reports, statements and projections
  • Strong working knowledge of short and long term budgeting and forecasting, rolling budgets, and product-line profitability analysis
  • Team oriented, collaborative, diplomatic, and flexible
  • Effective presentation skills, including strong oral and written capabilities
  • Start-up environment highly preferred

WHAT YOU WILL BE DOING:

  • Manage all accounting operations including Billing, A/R, A/P, GL and Counsel, Cost Accounting, Inventory Accounting and Revenue Recognition
  • Drive and maintain month-end and year-end close process and publish monthly financial statements
  • Evaluate transactions and revenue performance to provide actionable insights, and identify opportunities to grow revenue and profit through data mining, analytics, and automation
  • Partner closely with Leadership team members in performing long-term financial planning, budget, cash flow, investment priorities and analysis aimed at identifying risks, opportunities, and options that will inform strategies for investment
  • Provide insight and recommendations to both short-term and long-term growth plan of organization
  • Ensure compliance activities of Patientco including matters regarding PCI, money transmission, FDCA and other similar matters that intersect with and impact Patientco’s business
  • Lead financial modeling of Company’s business plan and new business opportunities
  • Coordinate and manage the preparation of regulatory reporting and compliance with local, state, and federal government reporting requirements and tax filings
  • Work with business leaders to accurately forecast financial and operational performance metrics
  • Coordinate and direct the preparation of the budget and financial forecasts and report variances
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls
  • Ensure quality control over financial transactions and financial reporting
  • Gain a comprehensive knowledge of Patientco's products and solutions, the competitive environment, and the market it addresses to better support functional initiatives
  • Own the revenue and cash flow cycles, including billing operations and expense management
  • Leverage solid Excel and financial modeling skills to develop and maintain financial analyses to support key initiatives and decisions
  • Monitor and establish internal financial controls to assure proper compliance
  • Participate in cross-functional business projects and analysis
  • Perform ad hoc analyses for operational and financial management
  • Recruit, hire and retain top accounting talent for the finance team
  • Research technical accounting issues for compliance
  • Support product roadmap, strategy and business initiatives, as well as base financial forecasts, through financial modeling and the development and maintenance of a long-term growth model for the business

 

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