About the role
Konovo is a global healthcare intelligence company on a mission to transform research through technology- enabling faster, better, connected insights.
Konovo provides healthcare organizations with access to over 2 million healthcare professionals—the largest network of its kind globally. With a workforce of over 200 employees across 5 countries: India, Bosnia and Herzegovina, the United Kingdom, Mexico, and the United States, we collaborate to support some of the most prominent names in healthcare. Our customers include over 300 global pharmaceutical companies, medical device manufacturers, research agencies, and consultancy firms.
As we transition from a service-oriented model to a product-driven platform, we are expanding our remote team. We are looking for a US Controller to contribute to our mission by driving financial integrity, building scalable processes, enabling data-driven decisions and leading a small team. As Konovo's Controller you will have the opportunity to build and shape the finance function of a high-growth healthcare market research company, while partnering closely with executive leadership to influence strategic decisions.
How You’ll Make an 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.