Controller – FULLY REMOTE
Based in the Tampa area for over 20 years, we are a publicly traded micro cap company dedicated to developing drugs, therapies and vaccines through intra-nasal delivery. We continue to strengthen our focus and build our expertise around intranasal drug delivery platforms through new strategic partnerships. We are a small publicly traded organization with stock that we sell to raise capital with 5 people on payroll. Our mission is focused on developing life enhancing medical products that have a clinical advantage and serve an unmet need.
The Position: The controller will communicate cash position, future cash flows, future cash commitments compared to cash in the bank as well as other financial and other accounting function. This is a fully remote position but does require the candidate to live within a 60-mile radius of Tampa for some in person meetings that may come up. Compensation for this role is:
- $120,000 to $150,000 (Depending on Experience)
- Health Insurance - Offered Day 1
- Vision and Dental Insurance - Offered After Day 31
- 2 Weeks of PTO in Year One
- 7 Paid Holidays
- Simple IRA with 3% Company Match
- Life Insurance (Company Paid)
Job Responsibilities
- REMOTE OPPORTUNITY
- Some in person requirement for Board Meetings, etc. will be involved
- Monday through Friday 8am to 5pm Schedule
- Analyzes financial implications of proposed services and programs
- Provides input and recommendations to enhance the growth and success of the organization.
- Accounts Payable (Pre-Commercialization)
- Complete Purchase Orders
- Oversees the general accounting function and ensures the proper processing of financial reporting, balance sheet management, accounts payable, grant management, and all other accounting systems.
- Responsible for proper timing and application of revenue recognition for Grants.
- Provides financial management support for projects as requested by CFO and VP or Finance.
- Accountable for ensuring that policies and procedures (internal controls) are in place to provide reasonable assurance that the company's assets are protected.
- Conducts monthly review of internal financial statements and provides CFO with recommendations on controlling expenditures or maximizing revenues.
- Perform some internal audit functions on cash, disbursements, and grant activities.
- Coordinates year-end audit preparation and acts as the liaison between external auditors and accounting personnel.
- Minimizes audit expenses.
- Ensures that company financial reports are prepared in compliance with US GAAP and SEC policies, directives, and reporting requirements.
Job Requirements:
- Bachelor’s Degree in Accounting or Finance
- Public Company experience
- SEC Regulation experience
- At least 5 years of financial reporting and accounting experience
Apply HERE or send a resume to kim@theipgteam.com