Here are 28 cannabis jobs mentioning "corporate controller" in May 2024, at companies like Chalice Brands Ltd., NuVue Pharma LLC, Talaria Transportation, and Pleasantrees, including positions such as Corporate Controller, Corporate Controller & Investment Analyst, Corporate Controller (Hybrid, NJ), and Senior Corporate Controller.
More than 30+ days
Controller
Company Description
Our mission at Talaria is to be the leading national service provider for third-party logistics, cash handling, and related financial services in the cannabis space.
We currently offer our suite of services in 23 states and are expanding rapidly. Our services include cash-in-transit, cash vaulting, product transport, ATMs, and home delivery.
Job Description
Our company is searching for a motivated and experienced Controller to lead our accounting and finance efforts. Our entire team is committed to offering industry-leading services we’re known for. We’re seeking an experienced controller with the ability to span from accounting and finance strategy to the tactical execution of monthly close. The ideal candidate will have proven experience as an accountant, preferably in a role with an SMB. As a strong communicator and skilled financial analyst, you will make it your mission to streamline our budgeting, payroll, invoicing, and financial reporting processes. You are comfortable getting your “hands dirty” in a fast-growing company knowing you will be involved at all levels from invoicing to investor relations. You will produce thorough financial-status reports for senior management to help improve our operational efficiency and aid in our continued growth.
Objectives of this Role
- Provide comprehensive financial updates to senior management by evaluating, analyzing, and reporting appropriate data points.
- Guide financial decisions by applying and creating company policies and procedures to current economic landscape.
- Develop, implement, and maintain financial controls and guidelines.
- Achieve budgeting goals with proper scheduling, analysis, and corrective action.
- Maximize payroll efficiency through innovative process development.
- Help develop and support investor relations, divestures and acquisitions.
Daily and Monthly Responsibilities
- Manage and monitor all accounts, ledgers, and reporting systems ensuring compliance with appropriate GAAP standards and regulatory requirements as well as the requirements of private contributions and loans.
- Maintain internal control safeguards for the receipt of revenue, costs and both team and organizational budgets and actual expenditures.
- Establish financial and operating benchmarks, budgets, program monitoring, and reporting standards on a bi-weekly, monthly, and annual basis.
- Implement consistent accounting policies, practices, and procedures across all programs, upholding federal, state, and local legal standards by remaining knowledgeable about existing, new, and future legislation.
- Develop and enforce internal controls to maximize protection of company assets, policies, procedures, and workflow.
- Track and process accounts payable, invoicing, accounts receivable and payroll.
Skills and Qualifications
- Bachelor’s degree in business, accounting, or related field.
- 10+ years proven accounting experience.
- Professional accounting certification, CPA preferred (active or inactive).
- Working knowledge of finance law and regulatory standards (GAAP).
- Strong understanding of economic and banking processes.
Preferred Qualifications
- 5+ years’ experience as a senior-level accounting or finance manager.
- Strong working knowledge of detailed financial data analysis.
- Proven budgeting experience, with a focus on streamlining accounting processes.
- Exemplary history of financial project management.
- Working knowledge of federal, state, and local tax compliance regulations and reporting.
Compensation
Full-time role. $100,000 - $120,000 annually based on experience.
AAP/ EEO Statement
Talaria Transportation LLC is an equal employment opportunity employer and does not discriminate against employees or applicants based on race, creed, color, national origin, sex, age, disability, marital status, sexual orientation, citizenship status, or other characteristics of applicable law.
Job Type: Full-time
Benefits:
- Health insurance
- Paid time off
Schedule:
- Monday to Friday, East coast hours
COVID-19 considerations:
This role is primarily remote, with occasional in-person meetings approximately quarterly.
Experience:
- GAAP: 3 years (Required)
- Controller: 2 years (Required)
License/Certification:
- CPA (Required)
Job Type: Full-time
Pay: $100,000.00 - $120,000.00 per year
Benefits:
- Health insurance
- Paid time off
Schedule:
- 8 hour shift
- Monday to Friday
COVID-19 considerations:
This role is primarily remote, however, the candidate will need to be located in southeast Pennsylvania for in-person meetings post COVID-19 restrictions.
Application Question(s):
- Are you willing and able to work on an East coast time schedule?
- Do you have experience working in a high-growth small startup business environment?
Education:
- Bachelor's (Required)
Experience:
- GAAP: 3 years (Required)
- Controller: 2 years (Required)
License/Certification:
- CPA (Preferred)
Work Location: Remote
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Corporate Controller & Investment Analyst
Shield Investment Group Inc.
Collections Specialist
Shield Investment Group
Shield Investment Group, a diversified investment firm, is seeking talented, versatile applicants to fill a hybrid role consisting of Corporate Accounting and Investment Analysis. This person will assist with nuts-and-bolts accounting, financial modeling, FP&A, analysis of new investment opportunities. The successful candidate must be detail-focused, personable, and able to thrive in an entrepreneurial, results-oriented environment.
We are looking for a motivated individual to join our team as our Corporate Controller & Investment Analyst
RESPONSIBILITES:
- Corporate accounting, including bookkeeping, accounts payable, journal entries, month-end closes, bank reconciliation and assistance with annual financial statement audits
- Administrative assistance with finance department responsibilities such as insurance, legal, and investor relations
- Complex financial modeling of projected financial performance of current and future investments
- Assist in the due diligence for acquisitions and dispositions
- Prepare comprehensive memoranda for presentations to the board of directors on new acquisitions and sales of existing investments
- Assist in the preparation of monthly investment reports to senior management
QUALIFICATIONS/REQUIREMENTS:
- Expertise in QuickBooks Enterprise AND Sage Intacct
- Experience building out accounting procedures from scratch for young businesses
- Demonstrated accounting Expertise in both operating company and investment scenarios
- Exceptional analytical and quantitative skills
- Superior oral and written communication skills; excellent interpersonal skills
- Ability to handle multiple, concurrent complex assignments with moderate supervision
- Demonstrated progressive history of achievement
- High-energy, detail-focused individual with unquestionable integrity
- Thorough understanding of investment fund economics
- Pro-active, solutions-oriented mindset with a strong focus on meeting deadlines
- Ability to work independently and collaboratively and thrive in a result-oriented environment
Ideal candidates will have the following experience / attributes:
- 5+ years of accounting experience
- CPA license preferred
- Expertise in financial modeling
- Expertise in Microsoft Excel
- Geographic nexus to the company’s headquarters in West Palm Beach, FL
- Bachelor’s degree with studies in finance and/or accounting
Strong multitasking abilityWith Headquarters in West Palm Beach, FL, Shield Investment Group invests capital across a wide range of industries. Current investments include the following:
- Real Estate
- Outpatient healthcare services
- Cannabis cultivation & retail
- Restaurants
- Medical device distribution
Shield is constantly in the process of evaluating and acquiring new assets. In many cases, Shield will manage accounting functions of the companies/assets it invests in. This candidate will need to manage these accounting functions and analyze new opportunities
BENEFITS
- Medical, Dental, and Vision insurance
- Two weeks paid vacation and holidays after 90 day probationary period
Job Type:
- Full-time
Salary:
- Based upon experience
Job Type: Full-time
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Schedule:
- Day shift
- Monday to Friday
Work Location: One location
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Job Title: Corporate Controller
Reports To: CFO
Location: Harrison Twp., MI
Meet Pleasantrees
Founded in 2018 and rooted in Michigan, Pleasantrees is committed to cultivating the highest quality cannabis, building trust in our communities and lasting relationships with our guests. Midwestern through and through, we are committed to delivering warm, thoughtful, and exceptional service at every turn. We respect the power of the plant and the people who use it. We work hard so our friends can enjoy more of life’s pleasures.
Job Description
We are seeking an experienced Corporate Controller. They should have strong accounting and analytical skills to be responsible for the company’s accounting and financial functions including general ledger entries, maintaining fixed assets, daily/monthly/yearly account reconciliations, financial forecasting and budgeting, record keeping and preparation, overseeing and analyzing cost expenditures and purchases within the organization. This position also requires the ability to oversee an accounting staff while still being involved in day-to-day details.
The ideal candidate will be highly motivated, enthusiastic, dependable, possess strong problem-solving skills, be detail oriented and is excited to work as part of a collaborative team with high growth potential in a start-up environment.
Responsibilities
- Maintain thorough knowledge and understanding of state and federal cannabis financial regulations
- Perform all cost accounting (inventory methods, standard costing, cost tracking, etc.)
- Implement policies, procedures and processes deemed appropriate to ensure financial and regulatory compliance
- Manage and maintain chart of accounts ensuring effective management of standard journal posting and monthly account reconciliations including areas such as A/P, payroll, bank, prepaids, fixed assets and income tax
- Maintain internal controls and safeguards for receipt of revenue, costs, and budgets
- Bank accounts/cash accounts and purchase order management
- Prepare monthly/quarterly/annual financial statements, account reconciliations and complete monthly close procedures
- Be the point of contact and work with external accounting firm for annual tax return preparation
- Responsible for preparing monthly and year-end closing journal entries for recording and allocating direct and indirect costs in accordance with Section 280E of the IRC
Experience and Requirements
- Minimum of 5 years’ experience in public accounting
- CPA license required
- Degree in Accounting or closely related field
- Cannabis accounting experience highly preferred but not required
- Tax and audit experience required
- Knowledge of accounting software such as QuickBooks and Xero highly preferred
- Ability to meet deadlines while managing multiple projects
- Able to react to change productively and handle other essential tasks
- Proficient in all Microsoft Office applications.
- Excellent analytical, problem solving, and decision-making skills
- Strong business acumen
- Minimum of 21 years of age
- Must pass criminal background check and drug screening (excludes THC)
- Must be compliant with all legal or company regulations for working in the Cannabis industry
Pleasantrees provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws.
This policy applies to all terms and conditions of employment, including recruiting, hiring, placement, promotion, termination, layoff, recall, transfer, leaves of absence, compensation, and training.
Job Type: Full-time
Pay: $90,000.00 - $125,000.00 per year
Benefits:
- Dental insurance
- Disability insurance
- Health insurance
- Life insurance
- Paid time off
- Parental leave
- Vision insurance
Physical setting:
- Office
Schedule:
- 8 hour shift
- Monday to Friday
Ability to commute/relocate:
- Charter Township of Harrison, MI 48045: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 5 years (Preferred)
License/Certification:
- CPA (Required)
Work Location: One location
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Corporate Controller
Revolution is changing the way people think about and access high-quality cannabis. Our brands strategically capture distinct segments of this rapidly evolving marketplace by cultivating health and happiness through the science of cannabis. Our responsibility is to foster a world where the science of cannabis is understood, cannabis businesses uplift communities economically and socially, people are free to make educated health decisions, and the efficacy of cannabis is maintained through highly regulated markets.
We are looking for an experienced Corporate Controller for our corporate office in our Chicago headquarters to oversee our fast growing, dynamic and accounting department. This position reports to the Chief Accounting Officer.
Responsibilities and Duties:
- Responsible for coordinating monthly/quarterly/annual close process, with a particular focus on consolidations. This individual will guide the accounting team's close process and will review/approve all financials in conjunction with the Chief Accounting Officer.
- Responsible for treasury functions which include daily cash reporting, overseeing the weekly vendor payment cycle, and ensuring staff complete bank recs accurately on a daily basis.
- Work directly with external auditors to coordinate annual audit process.
- Build operational reports for consumption by senior management.
- Liaise with FP&A to build a formal budgeting process and analyze budget to actual on a monthly basis.
- Ensure all tax compliance is completed timely and accurately – sales/use tax, cultivation tax, income tax.
- Work with IT team to enhance use of the Company's ERP for purchasing/cash flow planning, inventory tracking.
- Manage ad hoc projects assigned by finance senior leadership.
Qualifications and Skills:
- Bachelor/Master's degree in Accounting, and Licensed CPA required.
- 10+ years of proven progressive accounting experience, with the ability to articulate key successes during career.
- Ability to manage and grow a team of 6+ individuals in a consistently changing environment.
- Ability to manage the monthly and quarterly close process for 16+ operating entities.
- Ability to prepare quarterly financial statements and to work with the FP&A group on various reporting for CFO/Board meetings.
- Desire to work with various members of the operations/legal/compliance teams to initiate and manage change in operational processes that affect the accounting close.
- Experience overseeing an annual audit that includes complicated deal structures, technical accounting topics, inventory, and multi-entity consolidation.
- Experience overseeing tax return preparation, both P-ship and C-corp.
- Complete understanding of the consolidation process for a multi-entity business with various entity and ownership structures.
- Understanding of, and the ability to articulate knowledge pertaining to an internal control environment for financial reporting.
- Able to form opinions and make decisions geared towards moving the accounting and finance department forward. Must have a clear sense of materiality and risk when forming those opinions and decisions.
- Advanced Excel and data management skills, and ability to provide examples of such.
- System expertise in utilizing an ERP and/or a fully integrated accounting software system, preferably a Microsoft product such as Great Plains, Navision.
- Comfortable with, and the desire to, work in an environment that is fast growing and changing as the Company moves towards the next chapter in its business.
Job Type: Full-time
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The Chalice Brands Ltd Accounting Department is responsible for performing the transactions and procedures necessary for producing the internal and external financial reporting required for a publicly traded company. The Corporate Controller is responsible for the team leading that effort under the direction of the Chief Financial Officer.
The following are key responsibilities for the role, but other duties may be required and assigned by the Chief Financial Officer, other members of the Company’s senior executive team, or the Company’s Board of Directors:
Responsibilities
- Establishing standard operating procedures and related internal controls to allow for the accurate, consistent, and timely reporting of financial information required for internal, external, tax, and regulatory purposes.
- Train, lead, and supervise the accounting team to execute the transactions and procedures necessary to perform the above reporting requirements.
- Researches and composes required language and disclosure for public company filings including footnotes and management discussion and analysis.
- Manages external audit process and quarterly reviews by selected outside accounting firm.
- Manages tax return and related filings with outside accounting firm.
- Plays a leading role in managing cash through coordinating weekly disbursements with other department heads.
- Support the Chief Financial Officer and other department heads in the establishment of plans, forecasts, and budgets.
Knowledge
It is expected the Corporate Controller will have acquired the knowledge to execute the above responsibilities through a 4+ year degree program in accounting, 3+ years’ experience in public accounting, and 3+ years’ experience performing financial closing and reporting functions as a controller for a manufacturing company. Required knowledge specific to Chalice’s requirements include:
- IFRS and Public Company regulatory requirements.
- ERP system operation and standard configuration.
- Manufacturing cost accounting and inventory management.
- Cannabis 280E tax treatment.
- Multi-entity reporting and consolidation.
Skills
- Fluent written and spoken English to support external reporting requirements.
- Produce full-scope financial statements (balance sheet, profit & loss, and cash flows).
- Develop and maintain a 13-week cash flow forecast.
- Maintain capital table.
- Write and maintain standard operating procedures and maintain functional reporting archive.
- Train, lead, and develop accounting professional and para-professional staff.
Attributes
Chalice Brands Ltd is a plant-touching participant in the emerging U.S. Cannabis industry. The market is volatile due to rapidly changing regulatory and competitive factors. This volatility creates a working environment that is frequently evolving and results in a fair amount of daily uncertainty. The Corporate Controller must have a high tolerance for uncertainty and the ability to adapt to change. Other attributes required are:
- Fast-paced with a controlled sense of urgency.
- Values and projects honesty, integrity, and a willingness to help others.
- A life-long learner mindset.
- Absorbs more stress than creates.
- Organized and easy to follow.
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ABOUT FORIAN INC.
Forian provides a unique suite of SaaS solutions, data management capabilities, and proprietary data and analytics to optimize and measure operational, clinical, and financial performance for customers within the traditional and emerging life sciences, healthcare payer and provider segments, as well as cannabis dispensaries, manufacturers, cultivators, and regulators.
DESCRIPTION
In this newly created role with Forian as the Corporate Controller, you will lead the build-out of our accounting team. This includes establishing a SOX-compliant accounting function for our company, which is newly public and growing quickly. You will also be an integral part of the ERP implementation project team. You will manage various complex accounting areas including Stock-based compensation and administration, convertible debt, internally developed software, and other strategic initiatives.
RESPONSIBILITIES
- Lead the Company’s financial close process, including consolidation and preparation of financial statements and management reporting metrics and analysis. A special focus will be on re-designing, streamlining, and automating the close process for Forian while maintaining a high level of accuracy and integrity, and ensuring a balanced workload within the organization.
- Oversee consolidations and management reporting.
- Manage and ensure compliance with all SEC, GAAP, FASB rules and regulations in addition to state, local and corporate policies, regulations and laws.
- Keep abreast of accounting development, and research, providing recommendations related to complex accounting issues, including M&A and purchase accounting.
- Evaluate current accounting practices and policies to ensure practices and financial reporting are continuously improving to meet current and future requirements.
- Collaborate closely with SOX consultants, information technology, tax, treasury, legal and other functions to ensure proper internal controls over financial reporting and disclosure.
- Coordinate activities of external auditors, including an annual audit, and reviews.
- Manage the preparation of information and coordinate the effort required by the external auditor for year-end financial reporting.
- Continue to instill a performance culture resulting in meaningful process changes or improvements to increase efficiency and effectiveness, as well as meet the needs of a high-growth business. Hire, train and retain skilled accounting staff. Build a strong bench of talent and support strong career development, mobility and progression.
- Deliver assigned projects on time, with high quality, and within the allocated budget.
REQUIRED QUALIFICATIONS
- Bachelor’s degree in Accounting, Finance, or related field required.
- CPA required.
- A minimum of 10 years, with 5 years at a national accounting firm and 3+ years at a public company with deep experience managing SEC reporting and corporate areas in roles of increasing responsibility.
- MBA is a plus
- Experience in public companies facing rapid growth while maintaining the highest standards in accounting practices
- Experience and demonstrated history of driving and delivering performance improvement
- Ability to work under pressure, and to tight deadlines
- Highly organized, inquisitive individual who always challenges the status quo and is open to new ideas and considerations
- Deep and broad accounting rigor demonstrated through mastery of accounting theory and application of technical, complex accounting treatments, including revenue recognition, software development costs and intellectual property licenses, income taxes, stock compensation, business combinations
- Excellent written and verbal communication skills including experience preparing public filings and preparing materials for earnings releases and board meetings
A great opportunity to apply your skills in a meaningful way and grow as Controller with an emerging NASDAQ (FORA) listed tech company. Join a great team and build a first-class accounting and finance function.
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Job Categories: Finance
Job Types: Full Time
Job Locations: HybridNJ
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Position Summary: The controller is responsible for high level accounting, costing, and reporting functions to ensure the financial objectives of the company are met in a timely and accurate manner. The controller also manages and supervises all aspects of the accounting department and reports to the owner of the company.
Duties & Responsibilities:
· Effectively manages all accounting functions and internal controls related to cash management, financial statement preparation, general ledger, payroll, accounts payable, accounts receivable, tax compliance, inventory accounting, costing, revenue recognition, and net revenue analysis
· Prepares monthly financial statements/financial packet for the owner in a timely
· Provides financial analysis and ad-hoc reports to aide in decision-making regarding capital investments, pricing, contract negotiations, and other matters when necessary
· Ensures all accounting records, financial statements, and other financial reports are prepared timely, accurately, and in conformance with GAAP standards.
· Monitors cash flow and develops cash flow projections for short term and long-term goal
· Works closely with department heads in the collection of financial data for inventory tracking and product costing analysis
· Continually monitors future legislation that may impact taxation and reporting requirements
· Interfaces with outside audit firms, accounting firms, banks, agents, and others to ensure positive relationships are formed on behalf of the company.
· Effectively communicates with staff, demonstrating sound judgement and effective problem- solving skills
Competencies:
- Demonstrated ability to work independently and be able to multi-task and prioritize in a fast-paced setting
- Excellent verbal & written communication/presentation skills. Ability to confidently and effectively communicate with all levels within the Company.
- Strong knowledge of GAAP compliance and its application to accounting practices and procedures
- Effective management and supervisory skills
Required Education and Experience:
- Bachelor’s Degree in Accounting or Finance required, MBA preferred
- Must be highly proficient in Excel and be proficient in data manipulation/sorting/pivot tables, etc (required)
- Experience working in the Cannabis industry preferred
- Must obtain a Colorado MED badge
Job Type: Full-time
Pay: $70,000.00 - $80,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical setting:
- Office
Schedule:
- 8 hour shift
- Day shift
- Monday to Friday
Work Location: One location
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Job Title: Senior Corporate Controller
Reports To: CFO
Location: Harrison Twp., MI
Meet Pleasantrees
Founded in 2018 and rooted in Michigan, Pleasantrees is committed to cultivating the highest quality cannabis, building trust in our communities and lasting relationships with our guests. Midwestern through and through, we are committed to delivering warm, thoughtful, and exceptional service at every turn. We respect the power of the plant and the people who use it. We work hard so our friends can enjoy more of life’s pleasures.
Job Description
We are seeking an experienced Senior Corporate Controller. They should have strong accounting and analytical skills to be responsible for the company’s accounting and financial functions including general ledger entries, maintaining fixed assets, daily/monthly/yearly account reconciliations, financial forecasting and budgeting, record keeping and preparation, overseeing and analyzing cost expenditures and purchases within the organization. This position also requires the ability to oversee an accounting staff while still being involved in day-to-day details.
The ideal candidate will be highly motivated, enthusiastic, dependable, possess strong problem-solving skills, be detail oriented and is excited to work as part of a collaborative team with high growth potential in a start-up environment.
Responsibilities
- Maintain thorough knowledge and understanding of state and federal cannabis financial regulations
- Perform all cost accounting (inventory methods, standard costing, cost tracking, etc.)
- Implement policies, procedures and processes deemed appropriate to ensure financial and regulatory compliance
- Manage and maintain chart of accounts ensuring effective management of standard journal posting and monthly account reconciliations including areas such as A/P, payroll, bank, prepaids, fixed assets and income tax
- Maintain internal controls and safeguards for receipt of revenue, costs, and budgets
- Bank accounts/cash accounts and purchase order management
- Prepare monthly/quarterly/annual financial statements, account reconciliations and complete monthly close procedures
- Be the point of contact and work with external accounting firm for annual tax return preparation
- Responsible for preparing monthly and year-end closing journal entries for recording and allocating direct and indirect costs in accordance with Section 280E of the IRC
Experience and Requirements
- Minimum of 5 years’ experience in public accounting
- CPA license required
- Degree in Accounting or closely related field
- Cannabis accounting experience highly preferred but not required
- Tax and audit experience required
- Knowledge of accounting software such as QuickBooks and Xero highly preferred
- Ability to meet deadlines while managing multiple projects
- Able to react to change productively and handle other essential tasks
- Proficient in all Microsoft Office applications.
- Excellent analytical, problem solving, and decision-making skills
- Strong business acumen
- Minimum of 21 years of age
- Must pass criminal background check and drug screening (excludes THC)
- Must be compliant with all legal or company regulations for working in the Cannabis industry
Pleasantrees provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws.
This policy applies to all terms and conditions of employment, including recruiting, hiring, placement, promotion, termination, layoff, recall, transfer, leaves of absence, compensation, and training.
Job Type: Full-time
Pay: $90,000.00 - $130,000.00 per year
Benefits:
- Dental insurance
- Disability insurance
- Health insurance
- Life insurance
- Paid time off
- Parental leave
- Vision insurance
Schedule:
- 8 hour shift
- Monday to Friday
Ability to commute/relocate:
- Charter Township of Harrison, MI 48045: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 1 year (Preferred)
License/Certification:
- CPA (Required)
Work Location: One location
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The controller is responsible for high level accounting, costing, and reporting functions to ensure the financial objectives of the company are met in a timely and accurate manner. The controller is responsible for managing all financial aspects of Silver Therapeutics business entities. This position reports directly to the ownership.
Essential Functions:
Responsibilities include, but are not limited to:
- Assist in the preparation of the monthly close and financial statements, as well as prepare supporting documents for monthly and annual compliance audits
- Prepare journal entries as part of monthly transaction and closing process
- Analyze accounts receivable, accounts payable, inventory costs, and internal controls to provide management reporting in the area Coordination and oversight of physical inventories, and audits with sites
- Lead and prepare annual budget and monthly forecasts comparing projected results to prior year, budget, and previous forecasts
- Coordinate evaluation of capital projects and approval process
- Maintain fixed asset register: record new assets, transfers or retirements and calculate monthly depreciation figures
- Perform operational analysis, trend projections and forecasting
- Lead site level financial meetings, participate in site level leadership meetings, provide financial visibility to business partners for decision making
- Review site performance and KPI data with management; understand trends and help analyze root causes.
- Lead and/or participate on cross-functional teams to ensure the continuous, on-going improvement of processes, methods, productivity, and quality, while reducing costs
- Provide reports and data to department heads to assist them in managing their department expenses (including, but not limited to spending reports, operating reports, and variance analyses)
- Calculate, analyze, and maintain data to determine standard costs of business activity such as raw material purchases, inventory, and labor
- Responsible for balance sheet account reconciliations
- Responsible to hire, train, lead, and develop site level finance resources
- Directs the treasury function including daily cash movement, initiation, and release of ACHs; facilitation of monthly ownership distributions, debt, tax and rent payments; and other cash requirements as needed
- Forecasts to ensure sufficient cash is available to meet operating needs.
- Assist in the preparation of federal, state, and local tax filings
- Supporting and supervising accounting staff effort in daily and monthly transaction processing.
- Account reconciliations and support schedules as part of month end close
- Developing ad hoc financial analysis, and weekly cash flow reports
- Assist in accounts receivable collections
- Assist in preparation of 10K and 10Q SEC filings Conduct ad hoc analyses, special projects, and other duties as assigned
- Job Skills and Requirements:
· Bachelor’s Degree in Accounting, Finance or similar
- CPA preferred
- 8-12 years of related work experience is required.
- Advance computer skills in Excel, QuickBooks accounting software and databases
- Excellent organizational, problem-solving, project management and communications skills
- Knowledge of US GAAP and cannabis regulations preferred.
- Self-starter who can excel in a fast-paced environment with excellent written and verbal communication skills, friendly personality and team building leadership skills required
- Public company experience and SEC reporting required
- Cannabis experience preferred
Job Type: Full-time
Pay: $80,000.00 - $110,000.00 per year
Benefits:
- 401(k)
- Paid time off
Schedule:
- Monday to Friday
Education:
- Bachelor's (Required)
Experience:
- Accounting: 8 years (Required)
- CPA: 1 year (Preferred)
- Cannabis: 1 year (Preferred)
- GAAP: 1 year (Preferred)
- QuickBooks: 4 years (Required)
Work Location: Remote
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The Chalice Brands Ltd Accounting Department is responsible for performing the transactions and procedures necessary for producing the internal and external financial reporting required for a publicly traded company. The Corporate Controller is responsible for the team leading that effort under the direction of the Chief Financial Officer.
The following are key responsibilities for the role, but other duties may be required and assigned by the Chief Financial Officer, other members of the Company’s senior executive team, or the Company’s Board of Directors:
Responsibilities
- Establishing standard operating procedures and related internal controls to allow for the accurate, consistent, and timely reporting of financial information required for internal, external, tax, and regulatory purposes.
- Train, lead, and supervise the accounting team to execute the transactions and procedures necessary to perform the above reporting requirements.
- Researches and composes required language and disclosure for public company filings including footnotes and management discussion and analysis.
- Manages external audit process and quarterly reviews by selected outside accounting firm.
- Manages tax return and related filings with outside accounting firm.
- Plays a leading role in managing cash through coordinating weekly disbursements with other department heads.
- Support the Chief Financial Officer and other department heads in the establishment of plans, forecasts, and budgets.
Knowledge
It is expected the Corporate Controller will have acquired the knowledge to execute the above responsibilities through a 4+ year degree program in accounting, 3+ years’ experience in public accounting, and 3+ years’ experience performing financial closing and reporting functions as a controller for a manufacturing company. Required knowledge specific to Chalice’s requirements include:
- IFRS and Public Company regulatory requirements.
- ERP system operation and standard configuration.
- Manufacturing cost accounting and inventory management.
- Cannabis 280E tax treatment.
- Multi-entity reporting and consolidation.
Skills
- Fluent written and spoken English to support external reporting requirements.
- Produce full-scope financial statements (balance sheet, profit & loss, and cash flows).
- Develop and maintain a 13-week cash flow forecast.
- Maintain capital table.
- Write and maintain standard operating procedures and maintain functional reporting archive.
- Train, lead, and develop accounting professional and para-professional staff.
Attributes
Chalice Brands Ltd is a plant-touching participant in the emerging U.S. Cannabis industry. The market is volatile due to rapidly changing regulatory and competitive factors. This volatility creates a working environment that is frequently evolving and results in a fair amount of daily uncertainty. The Corporate Controller must have a high tolerance for uncertainty and the ability to adapt to change. Other attributes required are:
- Fast-paced with a controlled sense of urgency.
- Values and projects honesty, integrity, and a willingness to help others.
- A life-long learner mindset.
- Absorbs more stress than creates.
- Organized and easy to follow.
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Position Summary: The controller is responsible for high level accounting, costing, and reporting functions to ensure the financial objectives of the company are met in a timely and accurate manner. The controller also manages and supervises all aspects of the accounting department and reports to the owner of the company.
Duties & Responsibilities:
· Effectively manages all accounting functions and internal controls related to cash management, financial statement preparation, general ledger, payroll, accounts payable, accounts receivable, tax compliance, inventory accounting, costing, revenue recognition, and net revenue analysis
· Prepares monthly financial statements/financial packet for the owner in a timely
· Provides financial analysis and ad-hoc reports to aide in decision-making regarding capital investments, pricing, contract negotiations, and other matters when necessary
· Ensures all accounting records, financial statements, and other financial reports are prepared timely, accurately, and in conformance with GAAP standards.
· Monitors cash flow and develops cash flow projections for short term and long-term goal
· Works closely with department heads in the collection of financial data for inventory tracking and product costing analysis
· Continually monitors future legislation that may impact taxation and reporting requirements
· Interfaces with outside audit firms, accounting firms, banks, agents, and others to ensure positive relationships are formed on behalf of the company.
· Effectively communicates with staff, demonstrating sound judgement and effective problem- solving skills
Competencies:
- Demonstrated ability to work independently and be able to multi-task and prioritize in a fast-paced setting
- Excellent verbal & written communication/presentation skills. Ability to confidently and effectively communicate with all levels within the Company.
- Strong knowledge of GAAP compliance and its application to accounting practices and procedures
- Effective management and supervisory skills
Required Education and Experience:
- Bachelor’s Degree in Accounting or Finance required, MBA preferred
- Minimum 7 years of experience as a Corporate Controller or similar senior level position (required)
- Minimum 5 years of experience and extensive working knowledge of Quickbooks (required)
- Must be highly proficient in Excel and be proficient in data manipulation/sorting/pivot tables, etc (required)
- Experience working in the Cannabis industry preferred
- Must obtain a Colorado MED badge
Job Type: Full-time
Pay: $70,000.00 - $80,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- 8 hour shift
- Day shift
- Monday to Friday
Ability to commute/relocate:
- Pueblo, CO 81008: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 1 year (Preferred)
Work Location: One location
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Curaleaf Holdings, Inc. (CSE: CURA) (OTCQX: CURLF) ("Curaleaf") is a leading international provider of consumer products in cannabis, with a mission to improve lives by providing clarity around cannabis and confidence around consumption. As a high-growth cannabis company known for quality, expertise, and reliability, the company and its brands, including Curaleaf and Select provide industry-leading service, product selection, and accessibility across the medical and adult-use markets. In the United States, Curaleaf currently operates in 23 states with 130 dispensaries, 25 cultivation sites, and over 30 processing sites, and employs over 5,000 team members. Curaleaf International is the leading vertically integrated cannabis company in Europe with a unique supply and distribution network throughout the European market, bringing together pioneering science and research with cutting-edge cultivation, extraction, and production. Home | Curaleaf | Cannabis with Confidence
Our corporate social responsibility is Rooted In Good Diversity, Equity, Inclusion + Social Equity + Sustainability Social Responsibility | Curaleaf | Cannabis with Confidence We believe in taking corporate and social responsibility very seriously, from our educational outreach to national partnerships, state-wide initiatives and local causes. Giving back to the communities where we operate is important to us, and helps to change old attitudes by showing the positive impact of cannabis in creating jobs, changing lives, and helping local communities.
We educate. We advocate. We give.
Position Overview
Reporting to the Chief Financial Officer, the SVP, Corporate Controller will be primarily responsible for managing the accounting operations of the company, ensuring the accuracy and timeliness of financial results and compliance of reported results with Generally Accepted Accounting Principles ("GAAP") and International Financial Reporting Standards ("IFRS"). Duties will include the production of periodic financial reports, financial consolidation , external financial statement filings, managing annual and quarterly audit procedures, driving the corporate close calendar, working to implement standard processes and policies across all the states in which we operate, implementation of technology, including implementing and leveraging an ERP, to improve accounting processes and availability of financial information, oversee due diligence and integration of acquisitions. Must be extremely hands-on self-starter who is able to work independently.
Key Qualifications / Skills
The controller candidate should have a bachelor's degree in accounting and 10+ years of progressively responsible experience in a large public company, a division of a large public company and/or public accounting firms.
- GAAP & IFRS Technical accounting skills
- Managing large and complex processes
- Results oriented, driven, hands-on leader
- Extensive knowledge of acquisition, consolidation, debt and stock compensation related accounting concepts
- Proven experience with manufacturing environment and cost accounting concepts
- Financial software implementation and design experience
- Developing and implementing policies, procedures, controls
- Financial analysis skills
- Analyzing information
- Building, developing and retaining effective teams
- Comfort in high growth, rapidly changing business environments
Primary Accountabilities
- Responsible for the issuance of timely, accurate and complete financial statements in compliance with GAAP and IFRS reporting standards. Including filing of quarterly and annual reports with the Canadian Securities Exchange
- Analyze and conclude on technical accounting matters
- Managing the accumulation and consolidation of all financial data necessary for an accurate accounting and reporting of consolidated business results.
- Develop, maintain and enforce a documented system of accounting policies and procedures
- Provide financial analyses as needed, for capital investments, cash management, pricing decisions, and contract negotiations
- Oversee the operations of the corporate accounting department, including design of an organizational structure adequate for achieving the departmental goals and objectives
- Assessing current accounting operations, offering recommendations for improvement, and implementing new processes
- ERP and financial system implementations and requirements design
- Evaluating accounting and internal control systems
- Evaluating the effectiveness of accounting software and supporting database, as needed
- Coordination of quarterly and annual review and audit procedures with external audit firms
- Experience in working with multiple legal entities under different legal umbrellas
- Expertise working with all levels of the organization
- Hiring, training and retaining skilled accounting staff
- Recruit, train, develop and retain a highly skilled accounting team
Minimum Qualifications
- Bachelor's degree in accounting or finance
- Minimum 10+ years' experience in accounting/finance
- Extensive experience with financial reporting
- Preference will be given to candidates with a Certified Public Accountant designation
- Expertise with GAAP and IFRS
Curaleaf is committed to creating a diverse environment and is proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status.
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The Chalice Brands Ltd Accounting Department is responsible for performing the transactions and procedures necessary for producing the internal and external financial reporting required for a publicly traded company. The Corporate Controller is responsible for the team leading that effort under the direction of the Chief Financial Officer.
The following are key responsibilities for the role, but other duties may be required and assigned by the Chief Financial Officer, other members of the Company’s senior executive team, or the Company’s Board of Directors:
Responsibilities
- Establishing standard operating procedures and related internal controls to allow for the accurate, consistent and timely reporting of financial information required for internal, external, tax and regulatory purposes.
- Train, lead and supervise the accounting team to execute the transactions and procedures necessary to perform the above reporting requirements.
- Researches and composes required language and disclosure for public company filings including footnotes and management discussion and analysis.
- Manages external audit process and quarterly reviews by selected outside accounting firm.
- Manages tax return and related filings with outside accounting firm.
- Plays a leading role in managing cash through coordinating weekly disbursements with other department heads.
- Support the Chief Financial Officer and other department heads in the establishment of plans, forecasts and budgets.
Knowledge
It is expected the Corporate Controller will have acquired the knowledge to execute the above responsibilities through a 4+ year degree program in accounting, 3+ years’ experience in public accounting, and 3+ years’ experience performing financial closing and reporting functions as a controller for a manufacturing company. Required knowledge specific to Chalice’s requirements include:
- IFRS and Public Company regulatory requirements.
- ERP system operation and standard configuration.
- Manufacturing cost accounting and inventory management.
- Cannabis 280E tax treatment.
- Multi-entity reporting and consolidation.
Skills
- Fluent written and spoken English to support external reporting requirements.
- Produce full-scope financial statements (balance sheet, profit & loss, and cash flows).
- Develop and maintain a 13-week cash flow forecast.
- Maintain capital table.
- Write and maintain standard operating procedures and maintain functional reporting archive.
- Train, lead and develop accounting professional and para-professional staff.
Attributes
Chalice Brands Ltd is a plant-touching participant in the emerging U.S. Cannabis industry. The market is volatile due to rapidly changing regulatory and competitive factors. This volatility creates a working environment that is frequently evolving and results in a fair amount of daily uncertainty. The Corporate Controller must have a high tolerance for uncertainty and the ability to adapt to change. Other attributes required are:
- Fast paced with a controlled sense of urgency.
- Values and projects honesty, integrity and a willingness to help others.
- A life-long learner mindset.
- Absorbs more stress than creates.
- Organized and easy to follow.
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Apply for this job with Chalice Brands Ltd.
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Company Overview
Australis Capital Nevada Inc. is a diversified cannabis company based in Las Vegas, Nevada and publicly traded in Canada
(CSE: AUSA) and cross-listed on the OTCQB market (AUSAF). The company has operations in several states and Canada and will be expanding geographically. Reporting to the CFO, the Corporate Controller will be a key role in the finance department covering a broad range of activities including but limited to the following areas below. The role will be based at the company headquarters in Las Vegas.
Corporate Controller
Functional Areas:
Financial Reporting
1. Internal Close. Complete the monthly and quarterly closes internally for each entity and consolidate the overall financials.
2. External Close. Produce the draft financials for the reporting due to the CSE (Canadian Stock Exchange) within 60 days for quarterly and 120 days for annual reporting.
3. External Reporting. Work with the outside Canadian accounting firm on the financial statements and MD&A including footnote support.
4. Intangible Assets. Review intangible assets for impairment with CFO and auditors.
5. Investments. Establish periodic valuations of minority investments in various entities.
6. Share-Based Compensation. Modify share-based compensation expense on changes in personnel and new option/RSU awards.
7. Investor Relations. Work with CFO and Investor Relations for additional information required for press releases, annual governance meetings, CSE supplemental reporting, analysts, and other public investor support.
8. Board. Assist CFO and senior management with materials and analysis needed for board meetings.
9. Regulatory. Complete supplemental reporting required by state, local and other authorities.
Acquisitions
1. Pending Transactions. Evaluate quality of accounting and applicable due diligence documents at pending acquisitions.
2. Potential Transactions. Help finance team and management evaluate wide range of proposed transactions.
3. Opening Balance Sheets. Work with valuation firm, and external auditors on opening balance sheet for acquisitions.
4. Accounting. Setup appropriate accounting for acquisitions as well as accounting staff needs related to acquisitions whether at subsidiaries or corporate.
Cash Flow
1. Cash Flow. Work with CFO and senior management move overall entity from cash burn to positive cash flow.
2. Banking. Oversee banking functions, including cross border transfers, bank reconciliations by senior accountant and overall treasury services provided by banks.
3. Payables. Ensure proper posting and approval of accounts payable and subsequent payments.
4. Receivables. Oversee collections of accounts receivable from various entities.
5. Cash Reporting. Maintain consolidated cash figures and flash reporting.
Accounting and Audit
1. Supervision. Oversee and guide work of any additional interim accounting help.
2. Closing Cycle. Evaluate closing cycles for ways to accelerate while maintaining high quality of reporting.
3. Year-End Audit. Work with external auditors for year-end audit financials.
4. Controls. Evaluate and upgrade internal controls and document SOPs, as necessary.
5. Counts. Coordinate inventory counts and cash counts as required for acquisitions and audits.
Planning and Budgeting
1. Modeling. Work with CFO and corporate development to model financial forecasts with flexibility to simulate various forecasts and impact of potential acquisitions and partnerships.
2. Budgeting. Work with CFO and management to establish annual budgets and spending authorities.
3. Reporting. Integrate financial plans/budgets into financial software and financial reporting.
4. Variances. Provide meaningful insights into variances and work with management at each entity to proactively improve results.
Tax
1. Tax Provision. Work with outside tax accountant on tax provision, workbook, audit support and tax entries.
2. Tax Return Support. Provide support to outside tax preparer for year-end tax returns.
3. Local Filings. Coordinate internal tax filings for local, state, payroll, and other miscellaneous taxes.
4. 280E Taxes. Evaluate accounting practices for minimizing 280E tax at future cannabis entities.
5. Tax Allocations. Setup methodology for allocating expenses between cannabis and non-cannabis entities to minimize overall tax exposure and incorporate into regular financial planning.
Cost Accounting & Inventory
1. Controls. Install strong inventory controls including oversight of physical inventories.
2. Allocations. Evaluate cost allocations and gross margin calculations in cannabis operations for 280E.
3. Valuations. Develop best practices for valuation of biological assets at period ends.
4. Profitability. Assist in analysis of profitability and pricing of product and service lines.
Technology
1. QuickBooks. Evaluate accounting setup in QuickBooks for opportunities to streamline.
2. Financial System. Work with CFO and outside IT consultant on selection and implementation of financial software that can scale up with growth of overall organization and number of diverse entities.
3. ERP Systems. Work with CFO, management, and IT consultant on selection of ERP systems as required for each operating entity and assist in integration with financial system.
4. Supplemental Technology. Provide suggestions for other tools to help productivity of team members.
5. Planning Technology. Work with CFO and IT consultant to select and implement planning software.
6. Dashboard Technology. Work with CFO and IT consultant in selecting and developing technology for reporting
KPIs or similar metrics to management throughout organization.
Experience:
1. Cannabis. Cannabis industry experience a plus, especially multiple elements of supply chain.
2. Industries. Diverse industry experience a plus- agriculture/manufacturing/service/distribution/retail.
3. Hypergrowth. Expertise in fast growth companies and industries in early stages a plus.
4. Acquisition. Multiple acquisitions experience.
5. Entities. Multi-entity environment experience.
6. Cost Accounting. Strong cost accounting background applicable to both product and service environments.
7. CPA. CPA preferred (license does not need to be active).
8. Audit. Auditor experience at major CFA firm or experience overseeing external audits.
9. Accounting. IFRS (CSE) or GAAP (SEC) public reporting experience.
10. Excel. Strong Excel and modeling skills
11. Accounting Software. QuickBooks expertise a plus, along with mid-range accounting packages expertise
Personal Traits:
1. Learning. Quick learner, able to pick up on industry trends and regulations.
2. Decisive. Able to make decisions in timely manner even in ambiguous situations.
3. Adaptability. Adaptable and able to keep on track in rapidly changing environments.
4. Energy. High energy yet balanced lifestyle.
5. Thorough. Detailed oriented, thorough, providing check and balance.
6. Collaborative. Collaborative style, values input of others, enjoyable to work with
7. Creative Thinker. Open minded and able to contribute to new ideas.
8. Team Player. Work well with members, challenge, when necessary, then move forward with team.
9. Communications. Good communicator- able to summarize financials to non-financial types.
10. Hands-on. Willing to roll up sleeves and be extremely productive to get things off the ground.
We would like to thank all applicants for their interest but only those selected for an interview will be contacted.
Australis Capital Nevada Inc. is an Equal Opportunity Employer.
Job Type: Full-time
Pay: $85,000.00 - $100,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- Monday to Friday
Work Location: One location
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Who we are: C3 Industries, comprised of cultivation and manufacturing facilities (with products sold under the Cloud Cover brand name) and retail locations (operated under the High Profile banner), is dedicated to masterfully crafting, branding, and selling premium cannabis products in legal medical and recreational markets. A passion for cannabis combined with a desire to produce premium, high-quality products, drove the company's founders to launch the business in 2017.
Since that time, the company has quickly grown its operations to four states with vertically integrated operations consisting of approximately 250,000 square feet of cannabis production space and more than 20 retail dispensaries in various stages of development across all its markets. The company has raised significant capital to date, is profitable and fully funded for all its current projects across Michigan, Oregon, Missouri, and Massachusetts, and is strategically positioned for continued significant growth.
We are looking for a Corporate Controller who will be responsible for managing the general ledger close and oversight of asset level reporting as well as day to day management of accounting functions (AR/AP/Treasury). This role will closely monitor the corporate close calendar, provide support as needed and perform monthly reviews of reconciliations and financial statements to find and resolve discrepancies.
In this role you will…
- Manage and oversee the daily operations of accounts payable, accounts receivable, treasury, revenue reporting and financial reporting.
- Assist with and produce internal financial analysis of balance sheet and income statement, as compared to prior periods and to budget, and/or standard monthly reporting package for management review.
- Assist with fixed asset ledger accounts and workpapers
- Prepare and/or review account reconciliations monthly to ensure accuracy, completeness and reasonableness of information included in the financial statements.
- Review and approve standard recurring and other non-recurring journal entries and ensure appropriate supporting documentation is included for audit and review purposes.
- Lead monthly, quarterly, annual financial close process, including regular communication with other areas impacting the close, monitoring completion of items impacting the financials and addressing items of concern in a professional, timely manner.
- Co-lead projects with our external assurance consultants to meet Company audit and compliance objectives.
- Adheres to and maintains accounting controls.
- Leads and developments process documentation and accounting policies to maintain and strengthen internal controls.
- Contribute to implementation of Sage X3 ERP system.
- Comply with federal, state and local financial legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising management on needed actions.
- Responsible to assure the archival of accounting and documents complies with all legal requirements.
- Utilize company accounting software to perform all accounting operations and ensure their compatibility with company account principles and regulations.
- Continuously develop and implement effective and efficient accounting procedures by analyzing current procedures.
Skills and experience you have...
- Bachelor's Degree in Accounting required; ten years of experience in hands-on accounting and finance capacity
- Strong financial and analytical skills, US GAAP expertise, CPA Required
- Ability to problem solve and troubleshoot independently and proactively
- Proficiency in Microsoft Office suite and strong computer skills; advanced Microsoft Excel skills required.
- Strong working knowledge of ERPs (Sage X3 preferred), implementation, and recurring maintenance.
- Strong interpersonal skills, ability to build and lead a high performance and efficient team
- Proven experience in a managerial role.
- Excellent organizational skills, ability to develop and implement operational best practices.
- Good judgment in a fast-moving environment with the ability to prioritize and execute multiple tasks.
- Must be at least 21 years of age and able to pass a background check.
- Ability to work independently with limited direction, and to be both a manager and an individual contributor.
You should apply if...
- You are a strong “big picture” thinker and an equally strong “doer” that rolls up their sleeves to make things happen.
- You love working in a fast-paced environment and are excited about working for a start up in an emerging industry.
- You are an experienced marketer with a track record of bringing products and brands to life.
Our mission is to share our love of cannabis with the world. If you are interested in being part of our journey, we'd love to hear from you!
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Position Summary: The controller is responsible for high level accounting, costing, and reporting functions to ensure the financial objectives of the company are met in a timely and accurate manner. The controller also manages and supervises all aspects of the accounting department and reports to the owner of the company.
Duties & Responsibilities:
· Effectively manages all accounting functions and internal controls related to cash management, financial statement preparation, general ledger, payroll, accounts payable, accounts receivable, tax compliance, inventory accounting, costing, revenue recognition, and net revenue analysis
· Prepares monthly financial statements/financial packet for the owner in a timely
· Provides financial analysis and ad-hoc reports to aide in decision-making regarding capital investments, pricing, contract negotiations, and other matters when necessary
· Ensures all accounting records, financial statements, and other financial reports are prepared timely, accurately, and in conformance with GAAP standards.
· Monitors cash flow and develops cash flow projections for short term and long-term goal
· Works closely with department heads in the collection of financial data for inventory tracking and product costing analysis
· Continually monitors future legislation that may impact taxation and reporting requirements
· Interfaces with outside audit firms, accounting firms, banks, agents, and others to ensure positive relationships are formed on behalf of the company.
· Effectively communicates with staff, demonstrating sound judgement and effective problem- solving skills
Competencies:
- Demonstrated ability to work independently and be able to multi-task and prioritize in a fast-paced setting
- Excellent verbal & written communication/presentation skills. Ability to confidently and effectively communicate with all levels within the Company.
- Strong knowledge of GAAP compliance and its application to accounting practices and procedures
- Effective management and supervisory skills
Required Education and Experience:
- Bachelor’s Degree in Accounting or Finance required, MBA preferred
- Minimum 7 years of experience as a Corporate Controller or similar senior level position (required)
- Minimum 5 years of experience and extensive working knowledge of Quickbooks (required)
- Must be highly proficient in Excel and be proficient in data manipulation/sorting/pivot tables, etc (required)
- Experience working in the Cannabis industry preferred
- Must obtain a Colorado MED badge
Job Type: Full-time
Pay: $70,000.00 - $80,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- 8 hour shift
- Day shift
- Monday to Friday
Work Location: One location
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Company Profile
Chalice Brands Ltd. (“Chalice”), is a vertically integrated cannabis company with shares listed on the Canadian Securities Exchange (“CSE”) and the OTCQB under the trading symbols “CHAL.CN” and “CHALF” respectively. Chalice is headquartered in Portland, Oregon and operates twelve dispensaries two cultivation and one product manufacturing operations in western Oregon. The company also conducts operations in California and Nevada.
Position Profile
The Corporate Controller supports the growth of our business through the development and leadership of the company’s accounting team, processes and enabling technology. The results of this effort yield efficient and effective transaction processing, external and internal reporting and integrated data management to support decision support analysis.
Essential Duties & Responsibilities
- Provides leadership, supervision and competency development for accounting team members.
- Prepares periodic internal and external financial reports on a business entity and consolidated basis. Develops and maintains company-wide accounting policies and procedures based on IFRS (International Financial Reporting Standards) and requirements of public trading exchanges. Responsible for internal control design and maintenance.
- Leads financial statement audits and quarterly reviews performed by external CPA firm.
- Leads governmental tax filings as required by local, state, and federal authorities. Coordinates work performed by external tax service providers as appropriate.
- Performs cash management duties and forecasting to ensure subsidiaries are adequately funded and intercompany transfers and transactions are appropriately managed.
- Collaborate with executive team to make efficient and effective firm-wide operation possible
- Other duties as assigned.
Supervisory Responsibilities
This position is responsible for the leadership and direct supervision of the accounting team.
Qualifications
- B.S degree in accounting; active CPA license preferred.
- Minimum 5 years of experience in an accounting leadership role for a multi-entity organization reporting results on a consolidated basis.
- Comfort level with IFRS reporting and the ability to research and implement standards.
- Understanding of agricultural cultivation and manufacturing cost accounting principles and their application.
- Experience with cloud-based ERP implementations and upgrades in a multi-entity manufacturing setting.
- Ability to develop and implement annual career development plans for accounting team. Should also be able to develop cross-training plans to raise financial competencies of other departments at Chalice.
- Must be eligible to obtain an OLCC Marijuana Workers Permit.
Competencies
- Example of integrity, honesty, collaboration and teamwork.
- Ability to synthesize a fact pattern into a clear and concise message expressed either orally or in written formats. Ability to partner effectively and communicate respectfully across all lines of business.
- Approaches problems with initiative, a sense of urgency and a predisposition for results.
- Believes in continuous learning and inspires other to do the same.
Work Environment
Majority of work is performed in an office environment.
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Job Description: Corporate Controller
Position Summary: The controller is responsible for high level accounting, costing, and reporting functions to ensure the financial objectives of the company are met in a timely and accurate manner. The controller also manages and supervises all aspects of the accounting department and reports to the owner of the company.
Duties & Responsibilities:
· Effectively manages all accounting functions and internal controls related to cash management, financial statement preparation, general ledger, payroll, accounts payable, accounts receivable, tax compliance, inventory accounting, costing, revenue recognition, and net revenue analysis
· Prepares monthly financial statements/financial packet for the owner in a timely
· Provides financial analysis and ad-hoc reports to aide in decision-making regarding capital investments, pricing, contract negotiations, and other matters when necessary
· Ensures all accounting records, financial statements, and other financial reports are prepared timely, accurately, and in conformance with GAAP standards.
· Monitors cash flow and develops cash flow projections for short term and long-term goal
· Works closely with department heads in the collection of financial data for inventory tracking and product costing analysis
· Continually monitors future legislation that may impact taxation and reporting requirements
· Interfaces with outside audit firms, accounting firms, banks, agents, and others to ensure positive relationships are formed on behalf of the company.
· Effectively communicates with staff, demonstrating sound judgement and effective problem- solving skills
Competencies:
- Demonstrated ability to work independently and be able to multi-task and prioritize in a fast-paced setting
- Excellent verbal & written communication/presentation skills. Ability to confidently and effectively communicate with all levels within the Company.
- Strong knowledge of GAAP compliance and its application to accounting practices and procedures
- Effective management and supervisory skills
Required Education and Experience:
- Bachelor’s Degree in Accounting or Finance required, MBA preferred
- Minimum 7 years of experience as a Corporate Controller or similar senior level position (required)
- Minimum 5 years of experience and extensive working knowledge of Quickbooks (required)
- Must be highly proficient in Excel and be proficient in data manipulation/sorting/pivot tables, etc (required)
- Experience working in the Cannabis industry preferred
- Must obtain a Colorado MED badge
Job Type: Full-time
Pay: $65,000.00 - $75,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- 8 hour shift
- Day shift
- Monday to Friday
Work Location: One location
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- Controller Job Responsibilities:
To safeguard financial assets by establishing financial policies, procedures, controls, and complete reporting systems for a management company in Las Vegas, Nevada.
Key Duties:
- Responsible for establishing and operating a sound financial accounting system to process, document and reconcile transactions.
- Preparation of monthly financial statements, account analysis, and related reports for management and ownership
- Prepare and analyze budgets, initiate corrective actions
- Complies with all federal, state and local legal and tax requirements
- Supervision of other office functions and staff
- Maintain a documented system of accounting policies and procedures
- Ensure integrity of financial transactions (accounts payable, accounts receivable, etc.)
- Recommend benchmarks against which to measure the performance of company operations
- Calculate variances from the budget and report significant issues to management
- Provide for a system of management cost reports
- Provide financial analyses as needed, in particular for capital investments and contract negotiations
- Coordinate the provision of information to external auditors for the annual audit
- Reconcile all asset accounts daily
- Other duties as assigned
Requirements:
- Must have prior accounting experience and audit
- Must live in Las Vegas
- Broad knowledge of GAAP accounting and the ability to apply this knowledge
- Solid understanding of a variety of QuickBook and Microsoft Office Excel
- Strong attention to detail and is deadline oriented
- Excellent oral and written communication skills, highly organized with strong time management skills
- Ability to keep confidences and maintain a high level of integrity and ethics
- Able to interact effectively at all levels
Education and Experience:
- Bachelor’s Degree in Accounting or Business Administration with an emphasis on accounting preferred
- Five years of experience in a broad range of accounting responsibilities
Job Type: Full-time
Salary: $80.00 to $100.00 /year
Experience:
- management: 3 years (Preferred)
- managing accountants: 3 years (Preferred)
- controller: 5 years (Preferred)
- accounting/finance: 7 years (Preferred)
Additional Compensation:
- Bonuses
Work Location:
- One location
Schedule:
- Monday to Friday
Work Remotely:
- No
- 20 days ago
report job
Understanding Metric and cost of goods for cannabis cultivation, production and dispensaries helpful but not recuired
Job Type: Full-time
Pay: $70,000.00 - $100,000.00 per year
Physical Setting:
- Office
Schedule:
- Monday to Friday
Supplemental Pay:
- Bonus pay
COVID-19 considerations:
Masks in certain areas are required
Ability to commute/relocate:
- Las Vegas, NV 89103: Reliably commute or planning to relocate before starting work (Preferred)
Experience:
- Cannabis Accounting: 1 year (Preferred)
Work Location: One location
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Direct supervision of all accounting and financial reporting functions. Responsibilities include supervision of the monthly, quarterly, and annual close and reporting process. Preparation of the annual corporate budgets and assisting in the preparation of quarterly tax projections and annual tax return preparation. You will be part of a team that creates and implements policies and procedures to identify, resolve and document accounting issues in addition to creating procedures to make the close and reporting processes more efficient and accurate.
Must be COVID 19 Vaccinated
Responsibilities
- Preparation of monthly and annual financial statements and related footnotes.
- Preparation and review of workpapers supporting the monthly close process and month end balances.
- Preparation of annual budget
- Preparation of workpapers supporting the annual tax return.
- Coordinate the preparation of annual tax return with outside CPA firm.
- Implement a process to record transactions by department and compare costs incurred to budget and performance analysis of profit centers.
- Review and recordation of journal entries required to reflect the monthly activity.
- Review monthly accounting close process including analytical review of monthly operating results to ensure accurate accounting records.
- Perform cash projections to effectively manage cash balances.
- Preparation of monthly reforecast incorporating historical results and future assumptions.
- Review of expenses incurred on behalf of multiple entities.
- Implement, document, and maintain adequate and effective internal controls.
- Implement, document, and maintain adequate and effective processes to improve the close and reporting cycles to ensure timely and accurate reporting.
- Responsible for compliance with all applicable laws, rules, and regulations.
- Responsible for accurate and timely production of all financial information.
- Other responsibilities assigned from time to time.
Education:
- Bachelor’s in accounting and/or Master’s Degree in Business Administration with an emphasis in accounting. The degree should be from a recognized university.
- C.P.A. designation required.
Experience:
- National accounting firm audit experience is a requisite.
- 4+ years’ experience managing accountants and the accounting and financial reporting process.
- 3+ years in a position equivalent to a controller or higher responsibilities.
Skills:
- Conscientious about timeliness of assignments and quality of work product.
- Accountable for specific performance.
- Possess exceptional written and verbal communication skills, including ability to articulate recommendations in a concise and timely manner.
- Able to multi-task and maintain control over organized chaos.
- Good GAAP/IFRS and financial reporting technical skills.
- Exceptional work ethic.
Supervisory Responsibilities:
- General accounting, Accounts Payable, Cost Accounting and Accounts Receivable Departments.
Hardware/Software:
- Exceptional computer skills in the operation and functioning of all programs used by the organization, i.e., Google Suite; Google Sheets, Google Docs, Google Slides, Google Calendar, Microsoft Word, Excel, PowerPoint; and Experience with larger ERP systems.
- Experience with SAP a plus.
Typical Mental Demands:
- Able to analyze, organize, summarize, and articulate complex legal and financial information.
- Good command of the English language and be able to proofread work.
- Able to read and interpret agreements, then implement the relevant provisions of these agreements.
- Detailed, organized and communicative.
- Understanding, yet persuasive and decisive when dealing with others in the organization.
- Responsive collaborator with ability to quickly prioritize among numerous pressing tasks.
- Task and goal oriented and capable of functioning in an entrepreneurial and corporate setting.
- Able to prioritize and collaborate with multiple supervisors including the CFO and other Senior Executives.
What we bring to the table
- Our co-workers are a close-knit, intelligent, collaborative and motivated team.
- We care about you. We offer competitive health, dental, and vision insurance benefits for employees and their dependents.
- Invest in yourself and your family. We offer a company 401(k) retirement plan to all eligible employees, Eligible employees have worked with the company for 6 months and are 21 years of age or older.
- We value diversity and inclusivity. We are an equal opportunity employer and do not discriminate based on race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
Company Description
NorCal Cannabis has been developing and shaping the legal cannabis industry since 2015 in the areas of cultivation, distribution and retail.
NorCal’s mission is to bridge the strong roots and rich heritage of the cannabis industry with the bright future and unlimited potential now available to companies that fully understand the intricacies of the business. From seed to sale, our brands, products, and assets are meticulously developed from cultivation and manufacturing to delivery and retail. Throughout the entire process, we value every element of the supply chain and proudly serve distributors, retailers and consumers across California.
Our Values:
Grow with Integrity
Bring People Together
Build with Ambition
Believe in Cannabis for Good
We believe cannabis is a force for good, and will make positive impacts to society, the economy and the environment.
The history of cannabis and social reform go hand in hand. We honor the struggles of the past by building a better future. NorCal Cannabis recruits, employs, trains, compensates and promotes regardless of race, religion, color, national origin, gender, disability, age, veteran status, and other protected statuses as required by applicable law. We believe that in our differences, we find strength.
We are committed to equality, diversity, multiculturalism, and inclusion. We know we will always have to work to contribute to making our world a more equitable place. We focus first on building a values driven foundation inside the physical and virtual walls of our company and make concerted efforts to engage in the local communities we operate in and the global community for which we are citizens.
NorCal Cannabis also strives to be a steward of our ecological environment, knowing that our business’s health and health of our people is dependent and integrally connected to the health of the earth's ecosystem. We do our best to tread lightly.
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Demetrix seeks an experienced and knowledgeable Controller who thrives in a fast-paced startup to lead the accounting operations and play a strategic role in the company’s growth. The Controller will have day-to-day responsibility for the planning, implementation, and management of all financial and accounting-related activities of the company. This will include direct responsibility for accounting, financial reporting, financial systems, internal controls, taxes, audits, payroll, and compliance. The Controller will be accountable for the completeness and accuracy of all accounting-related functions including financial statements and reported financial results in accordance with generally accepted accounting principles.
Your Impact:
- Ensures that effective internal controls are in place including compliance with GAAP, applicable federal, state, and local regulatory laws and rules for financial and tax reporting
- Provide leadership in the development and improvement of internal controls, accounting policies, and infrastructure to support business scale and growth
- Provide executive management with advice on the financial implications of business activities
- Responsible for the company’s monthly, quarterly, and year-end close process
- Advise on the impact of long-range planning, the introduction of new programs/strategies, and financial regulatory action
- Maintains and enforces a documented system of accounting policies and procedures
- Assists with processes for financial forecasting and budgeting
- Lead process and strategy for securing third-party accounting firm to conduct auditing
- Plan and manage annual financial statement audits with external auditors
- Oversee payroll processing and related tax filings
- Partner with HR in 401k administration and compliance testing
- Establish strong relationships cross-functionally and be the accounting expert for the company
- Directs and oversees all aspects of the accounting functions of the company, including the design of an organizational structure adequate for achieving the department’s goals and objectives
Your Experience:
- Bachelor’s degree in accounting, finance, or related field
- 10 years of progressively responsible experience in a similar role
- Proficient in enterprise resource planning systems (Acumatica, NetSuite, SAP, or other)
- Strong technical accounting and financial knowledge, including US GAAP reporting requirements
- Ability to work in and/or travel to our Berkeley, CA and Raleigh, NC locations as needed
- CPA or CMA designation and public accounting experience
- Experience in life sciences and biotechnology sectors
- Excellent verbal and written communication skills
- Creative and flexible with a demonstrated ability to manage changing priorities and deadlines
- Strong leadership and management skills with the ability to drive accountability across the company
We’ve got you covered:
Our employees are the most important part of what makes our company what it is and we want to provide our team with the best benefits we can. Demetrix offers a variety of benefits to help support our employees and their families outside of work, including:
Health Benefits
Retirement
Flexible Vacation
Food on Campus
EAP Resources
Calm App Membership
Walking Distance to Berkeley Bowl
Gym Membership
Commuter Benefit
Education Allowance Benefit
Voluntary Benefits including Pet Insurance
Some other points:
We welcome applicants of any and all backgrounds with demonstrated abilities in the skills needed to meet our mission. We are always on the lookout for new talent who embrace change and are willing to push the boundaries of what’s possible in life.
Demetrix is committed to creating a diverse environment and is proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status.
Employment with Demetrix is at will. This means your employment is for an indefinite period of time and it is subject to termination by you or Demetrix, with or without cause, with or without notice, and at any time.
The job posting highlights the most critical responsibilities and requirements of the job. It’s not all-inclusive.
Some more about Demetrix:
Nature is a rich source of ingredients. Inconsistent quality and supply, along with inaccessibility of rare substances, mean it’s not always an ideal source to meet the world’s needs.
Demetrix helps customers across the globe produce more for less.
Biotechnology can help by enabling access to more rare and powerful products. With less environmental impact and less cost than traditional methods. Which can lead to more happy, healthy lives.
Demetrix gives you:
Expensive and hard-to-find ingredients at your fingertips, sustainably and affordably
High ingredient purity without residual chemicals or pesticides
Affordable access that is quickly scalable as your business grows
Product consistency and a reliable, global supply
A sustainable solution with a small environmental footprint
Currently, we’re building a product pipeline of cannabinoids, the active compounds in the cannabis plant. Humans have been relying on cannabinoids for health and medicinal purposes for centuries.
Although there are more than 113 unique cannabinoids, very few have been studied. That’s because they are present in such low quantities in the plant. We can produce even the rarest cannabinoids at high purity and volumes. What this will do is enable research for health benefits and, ultimately, provide affordable access to the compounds.
Please note: Demetrix does not accept unsolicited resumes from staffing vendors, including recruitment agencies and/or search firms. Please do not forward resumes to our jobs alias, Demetrix employees, or any other company location. Any submittals without a prior signed agreement will become property of Demetrix.
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Controller
Company Description
At TALARIA, our mission is to push legal cannabis to new heights. We provide secure logistics and related services to our cannabis partners to operate reliably and efficiently to scale.
Job Description
Our company is searching for a motivated and experienced Controller to lead our accounting and finance efforts. Our entire team is committed to offering industry-leading services we’re known for. We’re seeking an experienced accountant to oversee this team in the role of controller. The ideal candidate will have proven experience as an accountant, preferably in a role with an SMB. As a strong communicator and skilled financial analyst, you will make it your mission to streamline our budgeting, payroll, invoicing, and financial reporting processes. You are comfortable getting your “hands dirty” in a fast-growing company knowing you will be involved at all levels from invoicing to investor relations. You will produce thorough financial-status reports for senior management to help improve our operational efficiency and aid in our continued growth.
Objectives of this Role
- Provide comprehensive financial updates to senior management by evaluating, analyzing, and reporting appropriate data points.
- Guide financial decisions by applying and creating company policies and procedures to current economic landscape.
- Develop, implement, and maintain financial controls and guidelines.
- Achieve budgeting goals with proper scheduling, analysis, and corrective action.
- Maximize payroll efficiency through innovative process development.
- Help develop and support investor relations, divestures and acquisitions.
Daily and Monthly Responsibilities
- Manage and monitor all accounts, ledgers, and reporting systems ensuring compliance with appropriate GAAP standards and regulatory requirements as well as the requirements of private contributions and loans.
- Maintain internal control safeguards for the receipt of revenue, costs and both team and organizational budgets and actual expenditures.
- Establish financial and operating benchmarks, budgets, program monitoring, and reporting standards on a bi-weekly, monthly, and annual basis.
- Implement consistent accounting policies, practices, and procedures across all programs, upholding federal, state, and local legal standards by remaining knowledgeable about existing, new, and future legislation.
- Develop and enforce internal controls to maximize protection of company assets, policies, procedures, and workflow.
- Track and process accounts payable, invoicing, accounts receivable and payroll.
Skills and Qualifications
- Bachelor’s degree in business, accounting, or related field.
- 10+ years proven accounting experience.
- Professional accounting certification, CPA required.
- Working knowledge of finance law and regulatory standards (GAAP).
- Strong understanding of economic and banking processes.
Preferred Qualifications
- 5+ years’ experience as a senior-level accounting or finance manager.
- Strong working knowledge of detailed financial data analysis.
- Proven payroll experience, with a focus on streamlining accounting processes.
- Exemplary history of financial project management.
- Working knowledge of federal, state, and local tax compliance regulations and reporting.
Compensation
Full-time role. $80,000 - $90,000 annually based on experience.
AAP/ EEO Statement
Talaria Transportation LLC is an equal employment opportunity employer and does not discriminate against employees or applicants based on race, creed, color, national origin, sex, age, disability, marital status, sexual orientation, citizenship status, or other characteristics of applicable law.
Job Type: Full-time
Pay: $80,000.00 - $90,000.00 per year
Benefits:
- Health insurance
- Paid time off
Schedule:
- 8 hour shift
- Monday to Friday
COVID-19 considerations:
This role is primarily remote, however, the candidate will need to be located in southeast Pennsylvania for in-person meetings post COVID-19 restrictions.
Ability to commute/relocate:
- Newtown Square, PA 19073: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 3 years (Required)
- Controllers: 2 years (Required)
License/Certification:
- CPA (Required)
Work Location: One location
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Fazow accepts no liability or responsibility as a consequence of any reliance upon information on external sites or in jobs listed on fazow.com.
Must be COVID 19 Vaccinated
Responsibilities
- Preparation of monthly and annual financial statements and related footnotes.
- Preparation and review of workpapers supporting the monthly close process and month end balances.
- Preparation of annual budget
- Preparation of workpapers supporting the annual tax return.
- Coordinate the preparation of annual tax return with outside CPA firm.
- Implement a process to record transactions by department and compare costs incurred to budget and performance analysis of profit centers.
- Review and recordation of journal entries required to reflect the monthly activity.
- Review monthly accounting close process including analytical review of monthly operating results to ensure accurate accounting records.
- Perform cash projections to effectively manage cash balances.
- Preparation of monthly reforecast incorporating historical results and future assumptions.
- Review of expenses incurred on behalf of multiple entities.
- Implement, document, and maintain adequate and effective internal controls.
- Implement, document, and maintain adequate and effective processes to improve the close and reporting cycles to ensure timely and accurate reporting.
- Responsible for compliance with all applicable laws, rules, and regulations.
- Responsible for accurate and timely production of all financial information.
- Other responsibilities assigned from time to time.
Education:
- Bachelor’s in accounting and/or Master’s Degree in Business Administration with an emphasis in accounting. The degree should be from a recognized university.
- C.P.A. designation required.
Experience:
- National accounting firm audit experience is a requisite.
- 4+ years’ experience managing accountants and the accounting and financial reporting process.
- 3+ years in a position equivalent to a controller or higher responsibilities.
Skills:
- Conscientious about timeliness of assignments and quality of work product.
- Accountable for specific performance.
- Possess exceptional written and verbal communication skills, including ability to articulate recommendations in a concise and timely manner.
- Able to multi-task and maintain control over organized chaos.
- Good GAAP/IFRS and financial reporting technical skills.
- Exceptional work ethic.
Supervisory Responsibilities:
- General accounting, Accounts Payable, Cost Accounting and Accounts Receivable Departments.
Hardware/Software:
-
Exceptional computer skills in the operation and functioning of all programs used by the organization, i.e., Google Suite; Google Sheets, Google Docs, Google Slides, Google Calendar, Microsoft Word, Excel, PowerPoint; and Experience with larger ERP systems.
- Experience with SAP a plus.
Typical Mental Demands:
- Able to analyze, organize, summarize, and articulate complex legal and financial information.
- Good command of the English language and be able to proofread work.
- Able to read and interpret agreements, then implement the relevant provisions of these agreements.
- Detailed, organized and communicative.
- Understanding, yet persuasive and decisive when dealing with others in the organization.
- Responsive collaborator with ability to quickly prioritize among numerous pressing tasks.
- Task and goal oriented and capable of functioning in an entrepreneurial and corporate setting.
- Able to prioritize and collaborate with multiple supervisors including the CFO and other Senior Executives.
What we bring to the table
- Our co-workers are a close-knit, intelligent, collaborative and motivated team.
- We care about you. We offer competitive health, dental, and vision insurance benefits for employees and their dependents.
- Invest in yourself and your family. We offer a company 401(k) retirement plan to all eligible employees, Eligible employees have worked with the company for 6 months and are 21 years of age or older.
- We value diversity and inclusivity. We are an equal opportunity employer and do not discriminate based on race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
Company Description
NorCal Cannabis has been developing and shaping the legal cannabis industry since 2015 in the areas of cultivation, distribution and retail.
NorCal’s mission is to bridge the strong roots and rich heritage of the cannabis industry with the bright future and unlimited potential now available to companies that fully understand the intricacies of the business. From seed to sale, our brands, products, and assets are meticulously developed from cultivation and manufacturing to delivery and retail. Throughout the entire process, we value every element of the supply chain and proudly serve distributors, retailers and consumers across California.
Our Values:
Grow with Integrity
Bring People Together
Build with Ambition
Believe in Cannabis for Good
We believe cannabis is a force for good, and will make positive impacts to society, the economy and the environment.
The history of cannabis and social reform go hand in hand. We honor the struggles of the past by building a better future. NorCal Cannabis recruits, employs, trains, compensates and promotes regardless of race, religion, color, national origin, gender, disability, age, veteran status, and other protected statuses as required by applicable law. We believe that in our differences, we find strength.
We are committed to equality, diversity, multiculturalism, and inclusion. We know we will always have to work to contribute to making our world a more equitable place. We focus first on building a values driven foundation inside the physical and virtual walls of our company and make concerted efforts to engage in the local communities we operate in and the global community for which we are citizens.
NorCal Cannabis also strives to be a steward of our ecological environment, knowing that our business’s health and health of our people is dependent and integrally connected to the health of the earth's ecosystem. We do our best to tread lightly.
Apply for this job with NorCal Cannabis Company
Apply now →
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Please research all companies before applying. When applying for jobs, you should NOT have to pay to apply.
Fazow accepts no liability or responsibility as a consequence of any reliance upon information on external sites or in jobs listed on fazow.com.
Full Cycle Accounting: 6 years (Required)
Payroll: 3 years (Required)
Cannabis or Agriculture Industry: 1 year (Required)
US work authorization (Required)
CPA (Preferred)
Our client is experiencing tremendous growth and has many career advancement opportunities available. Due to their continuous growth, they’ve created a new position, Corporate Controller. The company plans on going public within the year. Currently, they are adding a retail location and have plans to rapidly grow in the upcoming years.
Are you looking for long-term employment with a great future? Perhaps you have what it takes to become the CFO? You will be supported by a CPA firm and audit firm to assist as the company goes public.
The Corporate Controller is responsible for all things accounting. As of now, they operate four branches, cultivation, nursery, manufacturing, and distribution. Vertical integration and automation of all branches allow them to be competitive in any market. With retail being the 5th branch of the business, now is a great time to join a vibrant crew, that truly cares about providing the cannabis market with quality products.
Compensation; based on experience.
Medical & Dental Insurance.
Skills/Requirements:
- 6+ Years of Full-Cycle Accounting Experience
- An Understanding of California Cannabis Tax Rules & Regulations
- IFRS experience is an asset.
- Costing, Control Systems & Workflows
- Bookkeeping and Payroll
- Desire To Grow Your Career & The Company
- Entrepreneurial & Start-up Mindset
Sample Responsibilities:
- City & State Taxes
- Responsible for Payroll & Filing Tax Returns
- Full Cycle Accounting including, Costing, AR/AP
- Liaison with CPA/Audit firm
- Manage Staff as the Company Grows
- Ensure Accuracy, Accountability & Timely Reporting.
- Provide Analysis & Advise Upper Management (as required)
Job Type: Full-time
Benefits:
- Dental insurance
- Health insurance
Schedule:
- Monday to Friday
Ability to Commute/Relocate:
- Adelanto, CA (Required)
Application Question(s):
- Would you describe yourself as having an Entrepreneurial mindset?
Experience:
- Full Cycle Accounting: 6 years (Required)
- California Cannabis Tax: 1 year (Preferred)
- Payroll: 3 years (Required)
- Cannabis or Agriculture Industry: 1 year (Required)
License/Certification:
- CPA (Preferred)
Work Location:
- One location
Work Remotely:
- No
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Corporate Controller - Cannabis Industry
1933 Management/1933 Industries
Our company is a publicly held cannabis and CBD company located in Las Vegas, NV near Spring Mountain and the 15 Fwy. We are looking for a Controller to join the Corporate Accounting Team. The Corporate Controller will be focused primarily on managing and improving efficiency within the monthly close, inventory management (in the accounting system) cost accounting and financial reporting. If you enjoy a face-paced environment and an opportunity to grow your career, this is a great position for you. This person will be primarily responsible for the following tasks:
o Compliance for industry specific taxes, sales and use tax and other monthly or quarterly compliance reporting
o Quarterly and Annual financial reporting for the public/parent entity - consolidations
o Inventory management in the accounting system and complete cost accounting worksheets for all inventory items
o This includes both the botanical/biological assets (plants) and all other inventory such as packaging, and manufactured items
o Allocate labor and overhead to inventory valuation every month
o Ensure that the Month End close is completed timely and accurately (this is a team effort)
o Reconcile bank accounts
o Reconcile prepaid accounts
o Reconcile inter-company accounts
o Make journal entries and accruals
o Compliance for industry specific taxes, sales and use tax and other monthly or quarterly compliance reporting
o Assist with quarterly financial reporting for the public/parent entity
o Assist with other accounting department tasks as needed or as assigned
Requirements:
· Cannabis industry experience - at least 3 years
· Controller experience - at least 5 years
· Bachelors’ degree in Accounting
· Ability to prioritize and meet deadlines
· Positive attitude
· Mentoring skills
· Coach-able
· Full time position: M-F 8 am-5 pm (or 7:30 am - 4:30 pm)
Benefits & Other:
Employee benefits include health insurance (100% employer paid for the employee) Paid Holidays, generous PTO and working with a great team. Salary is DOE.
Job Type: Full-time
Pay: $85,000.00 - $95,000.00 per year
Benefits:
- Health Insurance
- Paid Time Off
Schedule:
- Monday to Friday
COVID-19 considerations:We require masks to be worn at all times and practice social distancing. We do not have any public foot traffic and are spread out with a small group of people working in each suite, with each person in a private office. Stay Safe - Stay Healthy!
Experience:
- Accounting: 5 years (Required)
Work authorization:
- United States (Required)
Work Location:
- One location
This Company Describes Its Culture as:
- Detail-oriented -- quality and precision-focused
- People-oriented -- supportive and fairness-focused
- Team-oriented -- cooperative and collaborative
Company's website:
- 1933 Industries.com
Benefit Conditions:
- Waiting period may apply
- Only full-time employees eligible
Work Remotely:
- No
Apply for this job with 1933 Management/1933 Industries
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Fazow accepts no liability or responsibility as a consequence of any reliance upon information on external sites or in jobs listed on fazow.com.
POSITION SUMMARY: The Controller manages the accounting workflow, providing accounting direction and analytical support to the CFO/COO of the company. This includes providing direction and acting as a resource to accounting and general administrative staff to ensure complete, accurate, and timely work. We are one of the largest Cannabis Manufacturing operations on the West Coast based in Irvine, CA, we are seeking candidates for IMMEDIATE consideration for the position of Controller. This is a full-time opportunity (direct hire) offering a competitive salary and a benefits package that will available in the near future.
PRINCIPAL RESPONSIBILITIES:
- Performs complex accounting activities to record, analyze and monitor financial information.
- Responsible for monthly reconciliation of all balance sheet accounts.
- Prepares and reviews required supporting documentation and financial statements to ensure compliance with Generally Accepted Accounting Principles (GAAP) and Company policies and procedures.
- Provides direction to the different accounting functional areas (invoice processing, billing, cash receipts, work order processing, credit analysis, receivable collections, month-end close, journal entries, statistical data, and payroll).
- Manages the accounting workflow across all division departments (sales, customer service, operations, HR, etc.). Ensures there are proper internal controls in place including compliance with Company policies and procedures, and all other statutory requirements.
- Ensures that all internal and external reporting deadlines are met.
- Trains and develops accounting staff. Provides direction and acts as a resource to accounting and general administrative staff to ensure complete, accurate, and timely completion of work.
- May provide accounting assistance and support to the corporate, regional and/or area leadership as necessary.
- Supports the CFO/COO during the annual budget and interim forecasting process and assists with analytical review.
- Supports all accounting aspects of capital expenditures, transfers and retirements.
- Performs periodic financial audits including internal audits, external audits and peer reviews.
- Provides support and responds to information requests from corporate (accounting, tax, treasury, IT, sales, environmental compliance, legal, etc.) as well as regional and area field financial management as required.
- Performs other job-related duties as assigned or apparent.
Ideal candidate will have the following skills, knowledge, education, and/or experience:
- Bachelor’s Degree in Accounting, Finance or closely related field of study.
- Minimum of five years related accounting or financial experience.
- A thorough knowledge and understanding of Generally Accepted Accounting Principles (GAAP), and compliance requirements of other financial statutes.
- The ability to professionally interact and communicate with the leadership team as well as staff and customers to accomplish goals in an effective manner.
- Must be able to demonstrate initiative to thoughtfully research and follow up on non-standard situations to ensure compliance with company policies and procedures.
- Must be able to effectively coach, mentor and train others to meet performance expectations as described above.
- Must be able to work through others to accomplish goals and objectives.
- The ability to establish processes and procedures to ensure effective department workflow.
- The ability to track, measure and manage performance.
- Have MS Excel skills at an intermediate level.
- Strong analytical skills.
- Ability to effectively manage multiple tasks and meet deadlines.
- Ability to complete projects and assignments with minimal direction.
- Strong organizational skills and ability to work in high-volume, fast-paced environment.
Job Types: Full-time, Commission
Salary: $150,000.00 to $170,000.00 /year
Experience:
- Cost Accounting: 5 years (Required)
- Accounting: 10 years (Required)
- Accounting and/or Finance: 5 years (Preferred)
Education:
- Bachelor's (Required)
License:
- CPA (Required)
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Our client is a privately owned company operating in the cannabis space and has an immediate opening at the Controller level. This company is comprised of several entities that are consolidated for monthly, quarterly and annual financial reporting. This position would be located at its corporate offices in Tucson, Arizona.
ACCOUNTING RESPONSIBILITIES:
- Supervise and manage all accounting operations and staff including A/R, A/P, GL, Cost Accounting, Inventory Accounting and Revenue Recognition
- Prepare and publish timely and accurate monthly financial statements
- Manage accounts receivable collections and monitor weekly cash flow
- Mentor accounting team for purposes of ensuring quality of work and continued learning and advancement
- Work with outside tax/accounting/financial firms as needed
- Oversee the timely submission of sales tax reports to all the tax jurisdictions as applicable
- Provide reporting and budgeting as required by Senior Management
- Manage and comply with local, state, and federal government reporting requirements and tax filings
- Participate in the formation and implementation of company financial plans
- Continue to implement efficiencies and/or review adequacy of the existing ERP and platforms being currently utilized for financial information
- Additional duties as necessary
DESIRED SKILLS AND EXPERIENCE:
- Bachelor’s Degree in accounting and/or finance required
- CPA or CMA preferred
- 3 to 5+ years of progressive accounting experience
- Thorough knowledge of accounting principles and procedures
- Excellent accounting software user and administration skills
- Experience with Brightpearl a plus
Candidates only. Recruiters, please don't contact this job poster.
Job Types: Full-time, Contract
Salary: $90,000.00 to $110,000.00 /year
Experience:
- managing accountants: 5 years (Preferred)
- accounting: 10 years (Preferred)
- controller: 1 year (Preferred)
Contract Renewal:
- Likely
Full Time Opportunity:
- Yes
Additional Compensation:
- Bonuses
Work Location:
- One location
Benefits:
- Health insurance
Schedule:
- Monday to Friday
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Fazow accepts no liability or responsibility as a consequence of any reliance upon information on external sites or in jobs listed on fazow.com.
If you’re looking to develop your career at the forefront of a rapidly expanding industry and apply your talents to make a positive difference, you’ve come to the right place.
Tilray Inc. (NASDAQ:TLRY) is a global pioneer in the research, cultivation, production and distribution of cannabis currently serving patients and consumers in thirteen countries spanning five continents. Tilray operates state-of-the-art cannabis facilities in Canada and Portugal and teams in the U.S., Australia & New Zealand, Europe and Latin America. Tilray is pioneering the future of the industry globally by forging industry-disruptive partnerships and building a robust house of brands.
High Park Company develops and distributes world-class cannabis brands for the adult-use market in Canada and Manitoba Harvest, the world’s largest hemp foods company, offers a portfolio of hemp foods and CBD wellness products to consumers across North America.
Together, we strive to improve quality of life through cannabis, by leading, legitimizing and defining the future of the global industry.
If you have what it takes, you’ll be joining a worldwide network of innovative, passionate individuals on a revolutionary mission to pioneer the future of cannabis globally and establish Tilray as the world’s most trusted and valuable cannabis brand.
Role Summary
The Global Corporate Controller will report directly to the Chief Financial Officer and will be responsible for overseeing all accounting functions including corporate accounting, international accounting, SEC reporting, technical accounting, Sarbanes Oxley compliance, and audit management. The Global Corporate Controller's focus includes regulatory compliance and practices and collaborating with the CFO to develop financial strategies.
Job Duties and Responsibilities:
- Partnering with the CFO to determine accounting and tax implications for all material business decisions;
- Direct and lead accounting teams in the development, implementation and oversight of company-wide accounting policies and controls consistent with SEC, US GAAP and Sarbanes-Oxley compliance;
- Direct the monthly, quarterly and annual external and internal financial close and reporting processes, ensuring that an effective system is in place to meet close deadlines and audit requirements;
- Coordinate the timely and accurate completion of the Company’s Quarterly SEC Form 10-Q and Annual Form 10-K filings as well as any other filings required by the SEC in various transactions;
- Serve as the principle liaison with the Company’s external auditors to ensure smooth annual and quarterly financial statement and SOX compliance audit;
- Communicate pending changes in accounting rules and regulations to senior management which carry financial or operational implications and partner with senior management to resolve them;
- Establish appropriate standards for quality and efficiency of the financial reporting process
- Provide strategic proactive business and shared service advice and support to achieve business objectives and initiatives;
- Develop, recruit, mentor and strengthen the accounting team throughout the organization;
- Participate in and support any merger and acquisition, joint venture formation, asset and/or business sales/disposition accounting and analysis, with a focus on the early identification and communication of how each transaction will be accounted for;
- Present key accounting issues and topics to the audit committee with the CFO each quarter;
- Strong trusted partner to the CFO who contributes across strategic and day to day operations
- Lead accounting integrations of any acquired or merged businesses including; establishment of accounting structure, policies, accounting treatment, etc.
Skills - Experience and Requirements
Required Skills:
- Successful experience ensuring a company’s adherence to sound accounting policies and US GAAP;
- A demonstrated and sound knowledge of financial activities, policies and processes, including consolidations, SEC reporting, Sarbanes-Oxley, and US GAAP compliance;
- Play a leading role in directing change initiatives and process improvements including the evolution of shared services and the acceleration of efficiency initiatives;
- Experience in establishing and maintaining strong relationships and trust with business unit personnel/operations;
- Proven initiator, innovator and influencer who can drive change, improve processes, and provide sound solutions to complex and routine business issues;
- Well-developed negotiation skills and business management acumen as they relate to solving complex accounting issues that have operational impacts;
- Experience in presenting to Audit Committees and other internal and external decision makers;
- Possess strong leadership and mentoring skills to effectively delegate and develop teammates in the accounting department;
- Intellectual curiosity, as reflected in a willingness to take on new challenges and a commitment to implementing great ideas regardless of their origin;
- Ability to utilize a direct and pro-active approach when dealing with difficult issues;
- Demonstrated project management skills and the ability to handle multiple priorities under a tight deadline.
- Bachelor’s degree in accounting, finance, or closely related field;
- Seven to ten (7-10) years’ experience split between time in a leadership role with a Big 4 accounting firm(s) and a publicly-traded company(s) or an equivalent combination of education and experience;
- Minimum BA in Accounting or Finance, MBA is highly desirable;
- Certified Public Accountant (CPA) certificate required;
- 7-10+ years demonstrated progressive responsible financial leadership roles;
- Demonstrated ability to lead a fast-paced team with a strategic big picture mindset;
- Experienced with communicating and presenting the financial performance and leading indicators of the company to all levels of the company including C-level executives;
- Ability to multi-task, navigate through ambiguity, and manage conflict and difficult conversations;
- Willingness to collaborate with a broad range of functional groups and understand their business processes, concerns, and requirements.
Tilray welcomes applications from all qualified individuals and is committed to employment equity and diversity in the workplace.
Accommodations are available for applicants with disabilities throughout the recruitment process. If you require accommodations for interviews or other meetings, please advise when submitting your application.
Please note that Tilray does not authorize, engage, or sponsor any consultants, agencies or organizations that seek certain personal or financial information from you (e.g. passwords, login ids, credit card information). Tilray does not charge any application, processing or onboarding fee at any stage of the recruitment or hiring process.
When replying to emails, please ensure the sender name and email address match exactly. Please also ensure the Reply-To address matches the sending address exactly.
If you are concerned about the authenticity of an email, letter, or call purportedly from, for, or on behalf of Tilray, please send an email inquiry to [email protected]
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Please research all companies before applying. When applying for jobs, you should NOT have to pay to apply.
Fazow accepts no liability or responsibility as a consequence of any reliance upon information on external sites or in jobs listed on fazow.com.