Head of Finance and Compliance - US GAAP
Company Description
DESCRIPTION:
REAL-TIME, ACTIONABLE ANALYTICS THAT FACILITATE HEALTHCARE ACCOUNTABILITY
SpectraMedix offers a portfolio of products that enable hospitals or ambulatory care practitioners to improve the quality of patient care, achieve financial goals and successfully transition to performance and risk-based payment models.
Our cloud-based, turnkey clinical analytics solutions transform real-time and retrospective data into predictive, actionable analytics that drive performance improvement and results across the continuum of care. Timely information that integrates with multiple workflow systems allows hospitals to anticipate and solve clinical challenges, effectively coordinate care, and maximize incentives for CMS and Joint Commission initiatives such as the Readmissions Reduction Program, Core Measures Compliance, the Value-based Purchasing Program, and Meaningful Use Stage 2 Compliance for Clinical Quality Measures, and Accountable Care Organizations (ACOs). SaaS delivery enables quick deployment and scaling of our solutions for the range of hospitals and ambulatory care settings.
POSITION: HEAD OF FINANCE
LOCATION: GURGAON, INDIA
EXPERIENCE: 12 - 14 Years
Job Description
This role requires a strategic financial leader with extensive experience in financial management, M&A transactions, and a strong understanding of the US and India Business. The Head of Finance will play a pivotal role in guiding financial decisions, building relationships with stakeholders, and driving the company's financial strategy.
DESCRIPTION:
- Strategic Financial Management: Oversee and manage financial functions, including planning, budgeting, forecasting, and variance analysis.
- Financial Reporting and Guidance: Prepare financial reports and provide guidance to the CEO on budgets, forecasts, and reports.
- Board Interaction and Projections: Interact with Board members, presenting financial projections and reports.
- Venture Capital Relations: Maintain relationships with Venture Capitalists to support financial initiatives.
- Financial Modeling for Strategic Decisions: Develop financial models to facilitate mergers, acquisitions, and strategic investments.
- Scope of Work, Revenue Analysis, and Strategy: Analyse the scope of work and revenue to drive financial strategies independently and with initiative.
- Agreement Analysis and Strategic Planning: Review signed agreements, extract financial points, and devise strategic approaches.
- Expense Management and Financial Modeling: Develop financial models aligning costs against revenue for effective expense management.
- Financial Strategy Development: Contribute to shaping the company's financial strategy aligned with business objectives.
- Stock Options Administration: Manage and administer stock options within the organization.
- Long-term Financial Model Creation: Build a comprehensive 3-year financial model to support company growth strategies.
- Board Meeting Financial Analysis: Hands-on involvement in board meetings, providing analysis on net profit, growth margins, and cost of goods.
- Audit Oversight for Growth: Facilitate the audit process for a growth-oriented company.
Qualifications
- 12 years of experience in financial management, strategic planning, or financial analysis.
- 3-5 years of management experience.
- Bachelor's or Master’s degree in Finance, Accounting, Business, or equivalent field.
- License/Certification in related field preferred (CA / CPA) preferred.
- Understanding of US Taxation processes and Tax filings.
- Knowledge/Experience in Financials for US Software Business preferred.
REQUIRED ABILITIES:
- Manage confidential information adeptly
- Understand complex financials in US (US-GAAP) and India's Business domain
- Possess strong business acumen and commercial intuition
- Proficient in financial modeling (budgets, forecasts, reports)
- Prior experience in M&A transactions (deal modeling, valuation, EPS Accretion/Dilution)
- Demonstrate powerful leadership and future-focused vision
- Cultivate effective relationships across all levels of management and stakeholders
- Collaborate with multiple stakeholders (CEO, VCs, Board Members)
- Analyze spreadsheet-based financial models across diverse industries
- Prepare and file financial statements (Balance Sheet, Profit and Loss Account)
- Monitor changes in legislation and regulatory environments
- Perform financial analyses to drive decision-making and M&A strategies
- Develop integration plans for acquisitions, aligning with strategy and mitigating risks
TECHNICAL SKILLS:
- Advanced proficiency in Microsoft Outlook, Word, Excel, PPT.
- Advanced knowledge of QuickBooks or similar financial management tools.
Additional Information
Looking for a Qualified CA or CPA with experience in both US GAAP and Indian Accounting