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Controller
KonovoUS Controller driving financial integrity and scalable processes at Konovo, a healthcare intelligence company. Leading a finance team and influencing strategic decisions for high-growth markets.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in financial reporting, compliance with US GAAP, and the development of scalable accounting processes. Proven ability to lead teams, manage cash flow forecasting, and implement automation initiatives to enhance operational efficiency.
Highest-signal resume keywords
CPASage IntacctCash ManagementFinancial ReportingTeam Leadership
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Accounting ProcessesFinancial InsightsMonth-End CloseInternal ControlsAutomation InitiativesAccrualsReconciliationsLiquidity PlanningForeign Currency ManagementAudit Management
Soft Skills
CollaborationAdaptabilityCoachingAccountabilityContinuous Learning
Tools & Technologies
Sage IntacctSalesforceExpensifyExcel
Certifications & Qualifications
CPA
Industry Keywords
US GAAPSaaSHealthcareHigh-Growth Environments
Tech Stack
Tools & technologiesERP
About the role
Key responsibilities & impact- Partner with VP Accounting and cross-functional teams to provide accurate financial insights and support the company’s transition to a product-driven platform.
- Develop and implement scalable accounting processes, reporting frameworks, internal controls, and automation initiatives to enhance efficiency, accuracy, and transparency across the organization.
- Ensure timely, accurate financial reporting and compliance with US GAAP and regulatory requirements, while supporting strategic initiatives and new business opportunities.
- Partner with global finance counterparts in the UK and India to drive best practices, ensure consistency, and solve complex accounting and operational challenges.
- Lead, coach, and develop a team of four, fostering accountability, continuous learning, and high performance across the Finance function.
- Oversee cash management activities and support liquidity planning to ensure adequate funding across US and international entities.
- Partner with the CFO and VP Accounting in preparing and maintaining short and long-term cash flow forecasts.
- Support banking administration, foreign currency management, and intercompany funding activities.
- Oversee AP and AR functions to maintain strong working capital discipline and optimize cash flow.
- Own the company’s travel and expense (T&E) platform (e.g., Expensify) and related policies to ensure compliance, operational efficiency, and strong internal controls.
Requirements
What you’ll need- 7+ years of progressive accounting/finance experience, including controllership roles; prior experience in SaaS, healthcare, or high-growth environments preferred.
- Bachelor’s Degree in Accounting and CPA required.
- Experience using Sage Intacct (ERP), Salesforce (CRM), and Expensify (T&E), plus strong Excel skills.
- Proven experience leading month-end close processes, ensuring accuracy, timeliness, and continuous improvement across reconciliations, accruals, and financial reporting.
- Hands-on experience managing banking activities, including cash management and forecasting.
- Collaborative and adaptable, thriving in dynamic, fast-changing environments while partnering effectively across executive and operational teams.
- Experienced audit leader, with a history of managing annual audits.
Benefits
Comp & perks- Health insurance
- 401(k) matching
- Flexible work arrangements
- Paid time off
- Professional development opportunities