Here are 31 cannabis jobs mentioning "financial controller" in April 2024, at companies like NorthStar Financial Services Group, LLC, Verano, Better Than Good Inc., and Sunderstorm Inc, including positions such as Financial Controller, Financial Controller - Cultivation, Financial Controller for Cannabis Manufacturer, and Cannabis Financial Controller (Contractor).
More than 30+ days
The Fifty/50 Restaurant Group is a hospitality group based in Chicago and we are expanding our operations. While we are extremely flexible, this position requires 5 days per week on-site.
We need an experienced Controller to oversee general accounting operations by controlling and verifying our financial transactions. We hope this person will soon be able to step into larger roles and functions within our organization including controls for our upcoming cannabis dispensaries.
Controller responsibilities include reconciling account balances and bank statements, maintaining general ledger and preparing month-end close procedures for our private equity partners.
A successful Controller combines excellent analytical skills with a thorough knowledge of accounting principles to analyze financial reports. BUT MOST IMPORTANTLY, our senior accountant will lead by example, stay organized, and find satisfaction in a job done complete and on-time.
The ideal candidate has experience collaborating and/or managing a team of account managers and works will with CPAs and outside accountants. Controller duties include ensuring accuracy and effectiveness in all of our accounting tasks.
Responsibilities
- Verify, allocate, post and reconcile accounts payable and receivable
- Produce error-free accounting reports and present their results
- Analyze financial information and summarize financial status
- Spot errors and suggest ways to improve efficiency and spending
- Provide technical support and advice on Management accountant
- Review and recommend modifications to accounting systems and procedures
- Manage accounting assistants and bookkeepers
- Participate in financial standards setting and in forecast process
- Provide input into department’s goal setting process
- Prepare financial statements and produce budget according to schedule
- Assist with tax audits and tax returns
- Direct internal and external audits to ensure compliance
- Plan, assign and review staff’s work
- Support month-end and year-end close process
- Develop and document business processes and accounting policies to maintain and strengthen internal controls
- Ensure compliance with GAAP principles
- Liaise with our Financial manager and Accounting manager to improve financial procedures
Skills
- Proven experience as a financial controller, accounting supervisor, chief or senior accountant
- Thorough knowledge of basic accounting procedures
- In-depth understanding of Generally Accepted Accounting Principles (GAAP). Restaurant accounting experience is a major plus.
- Awareness of business trends
- Familiarity with financial accounting statements
- Experience with general ledger functions and the month-end/year-end close process
- Hands-on experience with accounting software packages, like QuickBooks.
- Advanced MS Excel skills including Vlookups and pivot tables
- Accuracy and attention to detail
- Aptitude for numbers and quantitative skills
- BS degree in Accounting, Finance or relevant
- Relevant certification (e.g. CMA or CPA) will be preferred
Job Type: Full-time
Pay: $85,000.00 - $110,000.00 per year
Benefits:
- 401(k)
- 401(k) matching
- Dental insurance
- Disability insurance
- Health insurance
- Life insurance
- Paid time off
- Parental leave
- Vision insurance
Physical setting:
- Office
Schedule:
- Monday to Friday
COVID-19 considerations:
Employees preferred to be vaccinated, however, a vaccination is not required to work here.
Ability to commute/relocate:
- Chicago, IL: Reliably commute or planning to relocate before starting work (Required)
Application Question(s):
- Briefly explain industries where you have had previous accounting experience
Experience:
- GAAP: 5 years (Required)
Work Location: One location
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We are a cannabis service company looking for a results driven and confident financial controller to halp manage our organization's financial performance and accounting operations. Duties will include manageing accounting records, evaluating and managing risk, ensuring compliance with regulations, publishing financial statements, monitoring expenditure, forecasting revenue, coordinating auditing processes and reconciliation of accounts.
The ideal candidate should possess strong analytical skills, exceptional problem solving skills, be highly organized, and have excellent leadership skills.
Financial Controller Responsibilities:
- Prepare financial reports
- Analyzing financial data
- Monitoring internal controls
- Overseeing and preparing income statements
- Participating in budgeting process
- Managing financial transactions
- Streamlining accounting and functions operations
- Evaluating and managing risk
- Coordinating audit processes
Financial Controller Requirements
- Bachelor's degree in accounting or equivalent
- Proven experience in finance management
- Good communication skills
- Strong leadership qualities
- Excellent interpersonal skills
- Sound knowledge of accounting fundamentals
- Auditing experience
- Compliance oriented
- Proficiency in accounting software
- Analytical skills
Job Type: Full-time
Pay: $80,000.00 - $90,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical setting:
- Office
Schedule:
- Day shift
- Monday to Friday
Supplemental pay types:
- Bonus pay
Ability to commute/relocate:
- Kansas City, MO 64118: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 1 year (Preferred)
Work Location: One location
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Summary/Objective
We are looking for a skilled Corporate Controller with years of direct experience in a controller roll. The company is expecting fast growth both organically and through M&A. Needs to have experience in this type of growth phase. One who applies principles of finance and accounting to analyze financial information, prepares and presents financial reports and provides key business partners with relevant financial information, analysis, and technical expertise. The position is responsible for the accounting and finance operations of the business including production of financial reports, maintenance of accounting records, and development of a comprehensive set of controls designed to mitigate risks and enhance the accuracy of the business’ reported financial results. Must have experience using different ERP and CRM systems with experience and knowledge of migrating from one system to the next to support the financial functions of the business. Key responsibilities include general accounting, payroll, accounts payable, accounts receivable, master data, internal controls, compliance, budget management, financial analysis, and reporting.
RESPONSIBILITIES
- Manages all monthly, quarterly, and year-end close activities in the preparation of internal and external consolidated financial statements by GAAP & IFRS Standards.
- Create and implement all needed SOP’s pertaining to accounting functions for the company. Must has experience creating, training, and execution of all accounting SOP’s.
- Strong background in inventory controls.
- Develops and drives compliance to financial policies, procedures, and internal controls and plays a leading role in process improvements.
- Manages and coordinates accounting transactions, financial reporting, and maintains standardized reporting timeliness.
- Acts as primary contact with internal/external audits, prepares relevant reports.
- Ensures accounting activities and reporting are by established legal, regulatory, and company procedures.
- Maintains budgets and analyzes budget requests to identify areas in which efficiencies, cost reductions, and productivity gains can be made and allocate operating budget.
- Assists in cash management - including managing vendor relationships, preparing weekly cash flow analysis and generating check runs.
- Establishes strong business partner relationships with the functional team and be the business's technical expert in accounting matters.
- Reviews and analyze financial trends and provide analytical reporting.
- Participates in regular discussions, planning meetings, and presentations.
- Identifies, develops, and executes analysis of business initiatives, product launches, and new lines of business as the company expands.
- Ensures timeliness and accuracy of financial and management reporting data for the company and applicable third parties, including state regulators, auditors, and the company's financial and tax advisors.
- Analyzes and evaluates the financial performance of long-term operational goals, cash flow needs, budgets, and forecasts.
- Creates and establishes monthly, quarterly, and annual financial objectives that align with the growth/expansion plan.
- Implements policies, procedures, and processes as deemed appropriate to ensure accounting, financial, and regulatory compliance.
- Presents monthly, quarterly, and annual financial reports - including profit and loss by division, forecast vs. budget by division, and cash flow by division.
- Provides insight and recommendations for improvement.
- Remains up to date with impending and new regulatory changes, including in state and federal cannabis operating and licensing regulations, and communicates any changes effectively.
SKILLS/QUALIFICATIONS
- Active CPA is required for this role
- Experience preparing public company financial reporting is a strong asset
- Advanced proficiency in MS Office
- Bachelor’s Degree (or higher) in Accounting, Finance, or related field
- 8 years experience as a controller working in a public company dealing with multiple P&L’s with businesses in different geographical locations
- Ability to manage and lead a team of accounting staff to be successful in their accounting rolls, leading to on time accurate financial reporting.
- Demonstrated ability to understand complex accounting literature and apply it to the business/specific transactions
- Comfortable with regular travel to the companies various businesses
- Strong understanding of the consolidations process, currency translation, the interaction between financial statements, and sales & use tax accounting
- Demonstrated ability to perform with a high level of accuracy under tight time constraints
- Strong understanding of the preparation of financial statements
- Impeccable analytical and organizational skills
- Ability to solve practical problems and deal with a variety of abstract variables in situations where only limited standardization exists
- Ability to work effectively with a diverse group of people and manage competing priorities without directly supervision
- Demonstrated ability to effectively lead and influence others - including direct reports, peers, and senior leadership of the company
- Knowledge of federal regulation on taxes and reporting
- Must be comfortable working in a highly regulated industry
- Must be comfortable working in a fast-paced, start-up environment. Ability to roll up their sleeves and get far enough into the weeds to identify issues, create and train on the solve, then train and lead a team to execute.
Job Type: Full-time
Salary: $150,000.00 - $180,000.00 per year
Schedule:
- Monday to Friday
Ability to commute/relocate:
- La Jolla, CA 92037: Reliably commute or planning to relocate before starting work (Preferred)
Experience:
- manufacturing: 3 years (Preferred)
Work Location: One location
Speak with the employer
+91 6055667347
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Financial Controller responsibilities include:
- Managing all finance and accounting operations
- Coordinating and directing the preparation of the budget and financial forecasts and report variances
- Preparing and publishing timely monthly financial statements
- Timely and accurate payroll processing and distribution
Job brief
We are looking for an experienced Financial Controller, or Comptroller, to undertake all aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecasts preparation, as well as development of internal control policies and procedures. Finance Controller responsibilities will also include financial risk management.
Responsibilities
- Manage all accounting operations including Billing, A/R, A/P, GL and Counsel, Cost Accounting, Inventory Accounting and Revenue Recognition
- Coordinate and direct the preparation of the budget and financial forecasts and report variances
- Prepare and publish timely monthly financial statements
- Coordinate the preparation of regulatory reporting
- Research technical accounting issues for compliance
- Support month-end and year-end close process
- Ensure quality control over financial transactions and financial reporting
- Manage and comply with local, state, and federal government reporting requirements and tax filings
- Develop and document business processes and accounting policies to maintain and strengthen internal controls
- Additional controller duties as necessary
Requirements and skills
- Proven working experience as a Financial Controller
- 5+ years of overall combined accounting and finance experience
- Advanced degree in Accounting
- CPA or CMA preferred
- Thorough knowledge of accounting principles and procedures
- Experience with creating financial statements
- Experience with general ledger functions and the month-end/year end close process
- Excellent accounting software user and administration skills
Job Type: Full-time
Pay: $110,000.00 - $125,000.00 per year
Benefits:
- Health insurance
- Paid time off
Physical setting:
- Office
Schedule:
- 8 hour shift
- Monday to Friday
Ability to commute/relocate:
- Wayne, PA 19087: Reliably commute or planning to relocate before starting work (Required)
Experience:
- Regulatory reporting: 5 years (Required)
- Accounting software: 5 years (Required)
- Accounting: 5 years (Required)
- General ledger accounting: 5 years (Required)
Work Location: One location
Apply for this job with Restore Dispensaries
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VPR Collection is an owner of brands and businesses in the nicotine vape, hemp and cannabis space. We have been in the business for over five years and are growing rapidly. We are in search of a detail oriented person, looking to grow with us, to assist with our day to day accounting needs within the companies.
Job Type: Full-time
Pay: $50,000.00 - $80,000.00 per year
Benefits:
- Dental Insurance
- Vision Insurance
- Health insurance
- Holiday Pay
- Paid time off
- Life Insurance
- Pet Insurance
- Long-Term Disability Insurance
- Critical Illness Insurance
- Identity Theft Insurance through My ID Care
- Accident Insurance
- Prepaid Legal Services through LegalShield
- Employee Discount
- Employee Assistant Programs
Daily duties:
- Manage accounts payable and receivable process
- Analyze and reconcile entries and accounts
- Issue and amend purchase orders
- Verify state and local documents are obtained by businesses
- Issue payments after verification that there are no discrepancies between purchase orders and invoices
- Assist with preparation of quarterly budgets
- Ensure the accuracy and completeness of all payroll reporting in the general ledger
- Review company contracts with vendors
- Assist with local / state compliance requirements and filing
- Monitor inter-company transactions
Qualifications:
- Bachelor's degree in accounting or finance
- 3+ years experience of accounting
- 1+ year of experience in vape or cannabis accounting is a plus
- Knowledge of accounting software such as QuickBooks
- Proficiency in Excel or Google Sheets
- Manufacturing knowledge is a plus
- Ability to work in a team environment, as well as independently
- Organized and detail oriented
Please apply if you possess these skillsets, we would love to hear from you.
Job Type: Full-time
Pay: $50,000.00 - $80,000.00 per year
Physical setting:
- Office
Schedule:
- 8 hour shift
- Monday to Friday
Ability to commute/relocate:
- Walnut, CA 91789: Reliably commute or planning to relocate before starting work (Preferred)
Experience:
- GAAP: 1 year (Preferred)
Work Location: One location
Job Type: Full-time
Pay: $50,000.00 - $80,000.00 per year
Benefits:
- Dental insurance
- Employee assistance program
- Health insurance
- Life insurance
- Paid time off
- Vision insurance
Schedule:
- 8 hour shift
- Monday to Friday
Work Location: One location
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The Fire Station, LLC
The Fire Station (TFS) operates as a series of Marijuana Facilities within the Upper Peninsula of Michigan. TFS holds valid state and municipal operating licenses and strives to exceed compliance standards at the highest level. Beginning in 2019 with less than ten employees, our business is now growing rapidly and welcomes new employees who are interested in a career in the cannabis industry. As a Marijuana Retail Facility, our operations involve welcoming customers 21 + years of age into our facility to view and purchase high quality marijuana products. A team of employees all work together to provide customers with top notch customer service and cannabis knowledge to aid them in their cannabis experience.
Job Title: Controller
Job Description
Roles - Executes the accounting operations of the company.
Supervisory Responsibilities - Oversees the operations of the Accounting Department, which include accounts payable, accounts receivable, bank reconciliations and payroll
Responsibilities
- Oversees the operations of the Accounting Department, which include financial reporting, accounts payable, accounts receivable, bank reconciliations, and payroll.
- Maintains a documented system of accounting policies and procedures, implements a system of controls over accounting transactions to minimize risk
- Oversees the production of periodic financial reports, ensures that the reported results comply with generally accepted accounting principles
- Recommends benchmarks that will be used to measure the company’s performance
- Produces the annual budget and forecasts; reports significant budget differences to management
- Files quarterly and annual reports with the securities and exchange commission
- Oversees training programs and identifies training needs.
- Provides financial analysis, with emphasis on capital investments, pricing decisions, and contract negotiations.
- Works with external auditors and provides needed information for the annual audit.
- Ensures compliance with local, state, and federal government requirements.
- Performs other related duties as necessary or assigned.
- Oversee and maintains financials of all companies within the enterprise
- In office Monday-Friday (Remote work on occasion)
- Oversee in office accounting department daily
Required Skills/Abilities
- Excellent management and supervisory skills
- Excellent analytical, organizational and mathematical skills
- Excellent written and verbal communication skills
- Excellent organizational and time management skills
- Proficient in accounting and tax preparation software
- Proficient in Microsoft Office Suite or similar software.
- Ability to manage a team - Excellent leadership skills
Education & Experience
- Bachelor’s degree in Accounting or Business Administration required
- Ten years or more of related experience required
- Certified Public Accountant or Certified Management Accountant designation preferred
Work Environment
- State & Municipal Law - TFS operates in full compliance with all rules and regulations enforced by the State of Michigan’s Department of Licensing and Regulatory Affairs (LARA) and Marijuana Regulatory Agency (MRA). Further, TFS operates in full compliance with the rules and regulations of each municipality they are located within. To operate in compliance with such rules and regulations, employees are required to follow all policies created and enforced by and within TFS facilities.
- Prolonged periods sitting at a desk and working on a computer
Job Requirements
- Must be at least 21 years of age
- Must have NO felony convictions
- Satisfactory background checks
- Valid form of identification
Work Schedule
M-F 8 am - 5 pm or otherwise needed.
Classification
Exempt
Salary/Wage & Benefits
TFS offers enrollment into Health, Dental and Vision insurance packages through TFS, provided by Blue Cross Blue Shield.
- 80% Paid Medical Insurance
- Employer Paid Short Term Disability
- Employer Paid Life Insurance
- Voluntary Pet Insurance
- 401(k) matching up to 3%
- Flexible scheduling
- Paid Time Off
- Employee Discounts
- Monthly Employee Recognition Program
Salary: $75K-120K depending on experience and education.
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Job Summary:
The Financial Controller - Cultivation is the key business partner for the General Manager of the AZ Cultivation activities. Day to day they monitor plant operations results against operating plans, advise their business partner on financial matters, and direct the preparation of financial, production output, and other reports used to measure and control Cultivation Center activities and costs. They ensure the Cultivation Center's financial control process and systems comply with company policies, applicable regulations, and provide required information. The Plant Leads the Cultivation Center financial and capital budgeting process. The Plant Controller recommends and implements programs to improve productivity, increase efficiencies, and reduce costs. Ensures that project/department milestones/goals are met and adhering to approved budgets. From time to time the Controller will also support cost accounting, accounts receivable/payable, and payroll
Essential Duties and Responsibilities:
- Develop and maintain the cost accounting system, documents, and records of the Cultivation Center;
- Assist in designing and maintain all standard cost of all Cultivation Center products;
- Analyzing manufacturing operations, equipment availability, and utilization;
- Ensure financial statements are prepared timely and accurately in accordance with current US GAAP;
- Ensure account analysis, reconciliation, and review is performed and documented thoroughly and timely;
- Prepare daily/weekly/monthly Cultivation Center performance reports;
- Review all Cultivation Center invoices and ensure proper coding;
- Approve all Cultivation Center A/P;
- Capital project preparation, project accounting, post project follow-up and review;
- Assist management and executives to achieve all business objectives;
- Assist with all Cultivation Center audits;
- Assist in month end closing, prepare journal entries as necessary, and analyze inventory valuation, and inventory roll forward;
- Other duties as assigned.
Minimum Qualifications:
- Bachelor's degree in Accounting or Finance required;
- Strong history in cost accounting in a manufacturing environment (food or pharmaceutical preferred);
- Minimum seven years' experience in general ledger and accounting reconciliation activities, with proven ability and experience in month end closing;
- Proactive, hands-on, results oriented style;
- Strong decision making and problem-solving skills with practical judgment and realistic understanding of the issues involved;
- Strong analytical and written/verbal communication skills and interpersonal skills;
- Strong attention to detail with consistent accuracy;
- Strong computer skills with Intermediate to Advanced Excel skills:
- Experience with Sage Intacct or other ERP system is preferred;
- Some travel is required (up to 25%).
Additional Requirements:
- Must be at least 21 years of age.
Physical and Mental Demands:
While performing the duties of this job, the employee is frequently required to remain in a stationary position, move and/or position oneself, communicate, operate and/or prepare, place, position objects, tools, or controls. The employee must occasionally move packages weighing up to 10 lb. Specific vision abilities required by this job include close observation and the ability to adjust focus. The mental and physical requirements described here are representative of those that must be met by an individual, with or without reasonable accommodation, to successfully perform the essential functions of this position.
Working Environment:
Work is performed in an office environment. The noise level in the work environment is usually loud. The work environment characteristics described here are representative of those an employee encounters while performing the essential functions of this position.
EEO Statement:
We are proud to be an equal opportunity employer. We place priority in an environment of inclusion, diversity and social justice and are committed to securing a better, brighter way forward for our employees, our markets and our communities.
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Job Summary:
The Financial Controller - Cultivation is the key business partner for the General Manager of the State Cultivation activities. Day to day they monitor plant operations results against operating plans, advise their business partner on financial matters, and direct the preparation of financial, production output, and other reports used to measure and control Cultivation Center activities and costs. They ensure the Cultivation Center's financial control process and systems comply with company policies, applicable regulations, and provide required information. The Plant Leads the Cultivation Center financial and capital budgeting process. The Plant Controller recommends and implements programs to improve productivity, increase efficiencies, and reduce costs. Ensures that project/department milestones/goals are met and adhering to approved budgets. From time to time the Controller will also support cost accounting, accounts receivable/payable, and payroll
Essential Duties and Responsibilities:
- Develop and maintain the cost accounting system, documents, and records of the Cultivation Center;
- Assist in designing and maintain all standard cost of all Cultivation Center products;
- Analyzing manufacturing operations, equipment availability, and utilization;
- Ensure financial statements are prepared timely and accurately in accordance with current US GAAP;
- Ensure account analysis, reconciliation, and review is performed and documented thoroughly and timely;
- Prepare daily/weekly/monthly Cultivation Center performance reports;
- Review all Cultivation Center invoices and ensure proper coding;
- Approve all Cultivation Center A/P;
- Capital project preparation, project accounting, post project follow-up and review;
- Assist management and executives to achieve all business objectives;
- Assist with all Cultivation Center audits;
- Assist in month end closing, prepare journal entries as necessary, and analyze inventory valuation, and inventory roll forward;
- Other duties as assigned.
Minimum Qualifications:
- Bachelor's degree in Accounting or Finance required;
- Strong history in cost accounting in a manufacturing environment (food or pharmaceutical preferred);
- Minimum seven years' experience in general ledger and accounting reconciliation activities, with proven ability and experience in month end closing;
- Proactive, hands-on, results oriented style;
- Strong decision making and problem-solving skills with practical judgment and realistic understanding of the issues involved;
- Strong analytical and written/verbal communication skills and interpersonal skills;
- Strong attention to detail with consistent accuracy;
- Strong computer skills with Intermediate to Advanced Excel skills:
- Experience with Sage Intacct or other ERP system is preferred;
- Some travel is required (up to 25%).
Additional Requirements:
- Must be at least 21 years of age.
Physical and Mental Demands:
While performing the duties of this job, the employee is frequently required to remain in a stationary position, move and/or position oneself, communicate, operate and/or prepare, place, position objects, tools, or controls. The employee must occasionally move packages weighing up to 10 lb. Specific vision abilities required by this job include close observation and the ability to adjust focus. The mental and physical requirements described here are representative of those that must be met by an individual, with or without reasonable accommodation, to successfully perform the essential functions of this position.
Working Environment:
Work is performed in an office environment. The noise level in the work environment is usually loud. The work environment characteristics described here are representative of those an employee encounters while performing the essential functions of this position.
EEO Statement:
We are proud to be an equal opportunity employer. We place priority in an environment of inclusion, diversity and social justice and are committed to securing a better, brighter way forward for our employees, our markets and our communities.
Apply for this job with Verano
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Full Job Description
Company Overview:
Better Than Good (BTG) is a leading consumer packaged goods company with award winning brands and products carried by over 300+ cannabis retailers throughout California. Our company consists of 60 people that span across our cultivation, production, manufacturing, distribution, sales and creative teams. We service 244 retail dispensaries throughout California who sell our products to hundreds of thousands of consumers.
We are seeking an experienced Financial Controller responsible for the organization's financial management and accounting operations. The ideal candidate will have proven industry experience, excellent analytic, organization, and communication skills.
The controller will be involved with all aspects of payables, receivables, expenses, and cash management, and will be a key contributor in ensuring that our books and records are accurate and that our financial reporting is done in a timely manner. We will rely on our controller to provide us with insights on how we are doing and trust them to be building a practice of meticulous attention to detail and rigorous analysis. BTG is a growing company, and our controller will need to be someone who is eager to design and implement processes that will scale as we grow.
Job Description:
- Develops, maintains, and enhances accounting and finance policies, processes and procedures to comply with US GAAP requirements
- Oversee and coordinate daily accounting functions and accuracy of financial statements, including month-end/year-end close process.
- Monitor the financial performance, strategies, and goals of the company.
- Oversee the supervision and training of accounting staff responsible for accounts receivable and accounts payable.
- Own, plan, and track internal budget, collaborating with leadership and department heads
- Develops, analyzes, documents, and implements internal controls and communicate findings to the CEO.
- Assist in obtaining the necessary licenses and insurance required for the business and coordinate the annual renewal process.
- Working knowledge of Federal, State, and local tax compliance regulations and reporting
- Manages preparation of regulatory filings
- Proactive nature - flagging potential problems before they arise and recommending to management how we can make our bookkeeping and reporting smoother and the data insights you provide actionable
- Always be keeping an eye on the financial health of the company and looking for room for improvement to recommend to the team
- Thinking critically and globally about spending across the company and not being afraid to speak up, push back, or interrogate the “why” behind spending decisions
- Manage projects and other ad hoc duties as necessary in relation to the finance and accounting functions
Preferred Qualifications:
- BS Degree in Finance, Business Administration, or Accounting.
- Active CPA license a plus
- 5+ years experience in finance or accounting.
- Computer-savvy and skilled in Microsoft Office and G-Suite.
- General ledger and other accounting systems experience (experience with Xero a plus!)
- Excellent communication and client service skills.
- Experience with financial data analysis, forecasting, payroll, and process improvement.
Job Type: Full-time
Pay: $140,000.00 - $150,000.00 per year
Benefits:
- 401(k)
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- Monday to Friday
Ability to commute/relocate:
- Perris, CA 92571: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 5 years (Preferred)
- Controller: 3 years (Required)
Work Location: One location
Apply for this job with Better Than Good Inc.
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As Controller you are responsible for reporting the financial health of all Trucenta establishments to The Ownership or any 3rd Party Auditing Firm brought on by Trucenta. In addition, you will be responsible for, but not limited to the preparation and oversight of the period trial balance, period and yearly budgets, payment of sales and use tax, preparation and timely completion of P & L statements, preparation and oversight of balance sheet(s), control and oversight of Cash Flow Statements. You support the Operations Team in cost control, prepare all analyses for each operation and its internal establishment as well as holding the responsibility for implementation and management of all accounting software used for reporting at the corporate and store level. This includes, but is not limited to: Quickbooks desktop, METRC, G-Suite (especially Google Sheets). Lastly as Controller you are responsible for AP/AR, account reconciliation, generating sales reports, period statements, balancing the general ledger, approving invoices, setting up/distributing payments to our vendors and preparation of period/yearly financial statements with target vs. actual results of total operational costs.
Your primary goal with Trucenta should be to develop into a leader as part of the Executive team, as well as becoming a crucial asset to aid Trucenta in its' continual development and growth via your role managing costs and vendor relations.
What you will own:
· The General Ledger and Period Close process for multiple companies
· Period Account Details, Analysis, and Reconciliations as needed
· Presentations to Ownership
· Business Insurance expense and accruals
· Analysis for Operations team
· Reconciliation of all cash and credit bank accounts
· Annual budgets and related activities
· Accounting and Financial Procedures & Checklists
· Reconciliations of all company credit cards
· Reconciliations of Accounts in a timely manner as well as updating accounts
· Period bank and balance sheet account reconciliations
· Maintenance of prepaid, amortization, fixed asset, and depreciation schedules
· Complete expense accruals and cost allocations
· Annual financial and tax preparation assistance
Requirements:
* Extraordinary organization skills and extremely detailed in all work
* Experience presenting large scale ideas to shareholders
* Accounting Experience with Cannabis or manufacturing a plus but not required
* Working Knowledge of Software used (Quickbooks, METRC, G-Suite)
* Excellent communication skills, both written and verbal.
* Must possess a positive attitude and have the ability to work with a variety of people and in cooperation with coworkers efficiently and effectively.
* Must be detail oriented and able to manage competing priorities and multiple deadlines in a fast paced environment.
* Ability to easily adapt to organizational and environmental changes.
* Must be flexible to work the hours and times needed dependent on the business demands
Job Type: Full-time
Pay: From $80,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- Monday to Friday
Supplemental Pay:
- Bonus pay
Ability to commute/relocate:
- Troy, MI 48083: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 1 year (Preferred)
Work Location: One location
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Financial Controller to manage all accounting, taxes, commissions, AR, AP, reconciliation, 1099 commission payments, and related duties.
This is for a manufacturing and distribution business that requires PACT reporting to 48 states every month as well as Sales Use Tax and Excise Tax for a total of 3 reports.
Daily reconciliation of payments, sales, and expenses, we have multiple companies and work out of Quickbooks, Odoo, and Katana.
Please respond with your resume and why you would be our best option for the job.
www.higherconnection.co
www.jolly-cannabis.com
Job Type: Full-time
Pay: $57,372.99 - $100,000.00 per year
Schedule:
- Monday to Friday
Ability to commute/relocate:
- Phoenix, AZ 85009: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 3 years (Preferred)
Work Location: One location
Apply for this job with Seventh House
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Company
Sunderstorm is a California-based cannabis lifestyle brand that manufacturers and distributes award winning edibles. We combine the best of science and nature to create premium quality, all-natural cannabis products offered at an affordable price.
Our mission is to help achieve a life of harmony and wellness with consciously made, science-based cannabis products. We care about the community around us and strive to live at harmony with the world. We believe in supporting people in need in the local community and being conscientious of the impact we have on the environment.
Job Summary:
The successful candidate will assume the immediate challenges of financial reporting and budget oversight. The candidate will also partner with the CFO in enhancing processes and procedures needed to help maintain the steady growth of the business.
**HYBRID SCHEDULE OPPORTUNITY**
Essential Task, Duties and Responsibilities:
- CPA (required)
- 10+ years of overall Accounting/Finance experience (required)
- Experience handling accounting for a manufacturing company (required)
- Strong technology skills (required)
- Thorough knowledge of accounting principles and procedures, including US GAAP and Taxes
- Experience with cannabis accounting (eg 280E) valuable but not essential
- Knowledge of ERP/Accounting software Acumatica a plus but not essential
- Proven track record of successfully managing people and processes
- Desire to build and manage a growing team
- Manage accounting team for accurate Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting, and Revenue Recognition
- Manage workflows and technology integrations across all departments that impact accounting and payroll
- Be our internal accounting expert on our integrated ERP/accounting software “Acumatica” and make sure transactions hit correct GL accounts
- Perform month-end close and report results to CEO/CFO/COO
- Maintain and improve cash flow projection model
- Assist with developing and reviewing key performance indicators
- Establish, monitor and enforce internal controls
- Function in accordance with established standards, procedures and applicable laws
- Work with external auditor on annual financials and tax returns
- Management of annual budget process; continual improvement of reporting structure to allow for agile monthly reporting and reforecasting
- Comply with federal, state, and local legal requirements by studying existing and new legislation; enforcing adherence to requirements, filing financial reports; advising management and taking the lead as directed on required actions
ADDITIONAL SKILLS AND EXPERIENCE REQUIREMENTS
- Must be strong on software platforms including Excel
- Personality that gels with current staff
- Analytical skills
- Able to pass a Background Check in compliance with the Fair Chance Act
Here at Sunderstorm Inc. we offer medical, dental, vision insurance and retirement benefits. Some perks include employee highlight incentives, paid time off, catered lunches and more! We are looking for team members who are flexible, reliable and know how to get stuff done. We are a fun, driven, entrepreneurial group focused on culture, community and quality. Come be a part of our growing organization and its opportunities for your career development! You will learn and develop alongside a team of professionals who aim to excel in the cannabis industry. Apply now!
Sunderstorm in an Equal Opportunity Employer- Sunderstorm Inc. is an equal employment opportunity employer, and we welcome everyone regardless of their race, color, religion, sex, national origin, age, disability, veteran status or genetics. We are dedicated to providing an inclusive, open, and diverse work environment
Job Type: Full-time
Pay: $125,000.00 - $160,000.00 per year
Benefits:
- 401(k)
- Dental insurance
- Employee assistance program
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- Day shift
- Monday to Friday
Ability to commute/relocate:
- Panorama City, CA: Reliably commute or planning to relocate before starting work (Required)
Education:
- Master's (Preferred)
Experience:
- GAAP: 5 years (Preferred)
License/Certification:
- CPA (Required)
Work Location: One location
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Full Job Description
Company Overview:
Better Than Good is a leader in cannabis with an outstanding collection of brands and products across inhalables and edibles. Our company consists of 60 people that span across our cultivation, production, manufacturing, distribution, sales and creative teams. We service 244 retail dispensaries throughout California who sell our products to hundreds of thousands of consumers.
We are seeking an experienced Financial Controller responsible for the organization's financial management and accounting operations. The ideal candidate will have proven industry experience, excellent analytic, organization, and communication skills.
The controller will be involved with all aspects of payables, receivables, expenses, and cash management, and will be a key contributor in ensuring that our books and records are accurate and that our financial reporting is done in a timely manner. We will rely on our controller to provide us with insights on how we are doing and trust them to be building a practice of meticulous attention to detail and rigorous analysis. BTG is a growing company, and our controller will need to be someone who is eager to design and implement processes that will scale as we grow.
Job Description:
- Develops, maintains, and enhances accounting and finance policies, processes and procedures to comply with US GAAP requirements
- Oversee and coordinate daily accounting functions and accuracy of financial statements, including month-end/year-end close process.
- Monitor the financial performance, strategies, and goals of the company.
- Oversee the supervision and training of accounting staff responsible for accounts receivable and accounts payable.
- Own, plan, and track internal budget, collaborating with leadership and department heads
- Develops, analyzes, documents, and implements internal controls and communicate findings to the CEO.
- Assist in obtaining the necessary licenses and insurance required for the business and coordinate the annual renewal process.
- Working knowledge of Federal, State, and local tax compliance regulations and reporting
- Manages preparation of regulatory filings
- Proactive nature - flagging potential problems before they arise and recommending to management how we can make our bookkeeping and reporting smoother and the data insights you provide actionable
- Always be keeping an eye on the financial health of the company and looking for room for improvement to recommend to the team
- Thinking critically and globally about spending across the company and not being afraid to speak up, push back, or interrogate the “why” behind spending decisions
- Manage projects and other ad hoc duties as necessary in relation to the finance and accounting functions
Preferred Qualifications:
- BS Degree in Finance, Business Administration, or Accounting.
- Active CPA license a plus
- 5+ years experience in finance or accounting.
- Computer-savvy and skilled in Microsoft Office and G-Suite.
- General ledger and other accounting systems experience (experience with Xero a plus!)
- Excellent communication and client service skills.
- Experience with financial data analysis, forecasting, payroll, and process improvement.
Job Type: Full-time
Pay: $140,000.00 - $150,000.00 per year
Benefits:
- 401(k)
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Physical Setting:
- Office
Schedule:
- Monday to Friday
Ability to commute/relocate:
- Perris, CA 92571: Reliably commute or planning to relocate before starting work (Required)
Experience:
- GAAP: 5 years (Preferred)
- Controller: 3 years (Preferred)
Work Location: One location
Apply for this job with Better Than Good Inc.
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Job Title: Financial Controller
Location: Bountiful, Utah
Compensation: $105k - $125k based on experience
Status: Full-time
Benefits: PTO, medical insurance with employer contribution, dental insurance with employer contribution, vision insurance with employer contribution, HSA with match, and 401(k) with match
We believe in the medicinal value of cannabis as a natural path to health & wellness. WholesomeCo is a complete, plant-to-patient medicinal cannabis company. We cultivate, process, and sell quality products, and provide convenient access to patients Statewide through at-home delivery. We are the largest retailer of medicinal cannabis in the State of Utah. We believe Utah is a hidden gem in the national cannabis landscape. The total Utah medical cannabis marketplace is expected to grow 4x over the next 3-5 years, and WholesomeCo is well positioned to be the leader in that growth. WholesomeCo prides itself on a great work atmosphere. Our amazing team does great work each day helping patients throughout the state of Utah.
WholesomeCo is in need of a Financial Controller. The Financial Controller reports to the VP of Finance and directs the coordination of financial reporting activities for the company, ensuring the accuracy, quality, and timely completion of financial reports and filings. Incumbent provides daily oversight and management of the accounting department, playing a critical role in coordinating accounting related matters with operating units. This role oversees the internal closing process, regulatory filings, and coordination with outside service providers, and is responsible for ensuring accounting records are maintained in accordance with Generally Accepted Accounting Principles.
*
Job Duties: *
*
Heads the accounting operation of WholsomeCo, including the management of accounting policies, practices, and procedures
- Evaluate and enhance financial controls
- Responsible for coordination and timely filing of all quarterly and annual tax returns and tax payments managing the relationship with WholesomCo’s tax advisors
- Prepare, analyze and interpret management and external financial reports including balance sheet, income statement, and cash flow statements
- Establish and maintain cash flow forecasting and burn rate analysis
- Perform internal audits and financial risk assessments, as well as facilitate intervention strategies
- Prepare annual budgets, forecasts, and reports, as well as review journal entries and account reconciliations
- Manage closing processes, billing, invoicing, expenses, reimbursements, and payroll administration
- Improve closing and reporting cycles
- Coordinate and record investments and maintain fixed asset records
- Overseeing accounting staff and analyze profit center performance metrics
- Document processes and ensure compliance with financial management and accounting regulations
- Prepare reports required by regulatory agencies
- Manage all aspects of annual financial reporting audits
- Advise management on desirable operational adjustments due to tax code revisions
- Manage debt compliance and reporting
- Other job duties as requested
*
Requirements: *
- Must pass a pre-employment/post-offer background check
- Minimum 7 years of corporate accounting experience with progression of responsibilities
- Minimum 3 years managing accounting personnel
- Advanced competency in financial management and accounting software such as SAP, NetSuite, Intacct, Oracle or Quickbooks
- Accounting software implementation experience strongly preferred
- In-depth knowledge of accounting standards and industry regulations
- Experience in corporate finance, auditing, and performance management
- Superb organizational and time management abilities
- Excellent leadership, communication, and collaboration skills
- Bachelor’s degree in Accounting required
- Master’s degree in Accounting, Finance or Business strongly preferred
- CPA or CMA license required
- Big 4 audit experience preferred
*
Company offered benefits: *
- Paid Time Off (PTO)
- 80% of the total medical insurance premium is employer-paid
- 75% of the total dental insurance premium is employer-paid
- 75% of the total vision insurance premium is employer-paid
- 401(k) with match
- HSA with match
_
This employer participates in the E-Verify program._
WholesomeCo is 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.
bEwPr2tAKl
Job Type: Full-time
Pay: $105,000.00 - $125,000.00 per year
Apply for this job with WholesomeCo Cannabis
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JOB DESCRIPTION:
Manage all accounting operations including Billing, A/R, A/P, GL and Cost Accounting,
Inventory Accounting, and Revenue Recognition
- Coordinate and direct the preparation of the budget and financial forecasts and report variances
- Prepare timely monthly financial statements for the Board of Directors
- Coordinate the preparation of regulatory reporting
- Research technical accounting issues for compliance
- Support month-end and year-end inventory control process
- Ensure quality control over financial transactions and financial reporting
- Manage and comply with local, state, and federal government reporting requirements and tax filings
- Develop and document business processes and accounting policies to maintain and strengthen internal controls
- Prepare and submit tax returns
- Manage and execute Payroll operations
- Additional controller duties as necessary
QUALIFICATIONS:
- Bachelor’s Degree in Business, Accounting, Finance or related discipline
- Accounting designation (CMA, CGA or CA), or an equivalent combination of related experience and education
- Minimum 7-10 years accounting experience in a senior accounting or financial management role
- Strong interpersonal and communication skills
- Impeccable analytical and organizational skills
- Self-motivated and self-directed
- Ability to work closely with a senior management team
Job Types: Full-time, Contract
Salary: From $100,000.00 per year
Schedule:
- 10 hour shift
- 8 hour shift
- Monday to Friday
- Overtime
Education:
- Bachelor's (Required)
Experience:
- Accounting: 7 years (Required)
- Food Manufacturing Facility: 3 years (Preferred)
- Cannabis Industry: 1 year (Preferred)
Work Location: One location
Apply for this job with Jonas Pineda
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Financial Controller
Job description
Company
Join a fast-growing cannabis manufacturing and distribution company that has grown over 500% in the last three years. One of the top ten brands in California, the company has recently expanded to other States. The company has three licensed facilities in California and is in full compliance with state cannabis laws. This position will operate out of our corporate offices near Van Nuys, CA.
The complexity of cannabis taxation and regulation combined with the phenomenal sales trajectory of the company means that financial reporting and tax preparation are challenging. In addition, the company hired an auditor to review and complete our annual tax returns and financial statements. We are looking for an experienced controller with a CPA to help guide us into the future. Management has Ivy League and Wall Street experience and wants to recruit someone who is up for the challenge.
Required Education and Work Experience:
- CPA (required)
- 10+ years of overall Accounting/Finance experience (required)
- Experience handling accounting for a manufacturing company (required)
- Strong technology skills (required)
- Thorough knowledge of accounting principles and procedures, including US GAAP and Taxes
- Experience with cannabis accounting (eg 280E) valuable but not essential
- Knowledge of ERP/Accounting software Acumatica a plus but not essential
- Proven track record of successfully managing people and processes
- Desire to build and manage a growing team
Essential Duties
- Manage accounting team for accurate Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting, and Revenue Recognition
- Manage workflows and technology integrations across all departments that impact accounting and payroll
- Be our internal accounting expert on our integrated ERP/accounting software “Acumatica” and make sure transactions hit correct GL accounts
- Perform month-end close and report results to CEO/CFO/COO
- Maintain and improve cash flow projection model
- Assist with developing and reviewing key performance indicators
- Establish, monitor and enforce internal controls
- Function in accordance with established standards, procedures and applicable laws
- Work with external auditor on annual financials and tax returns
- Management of annual budget process; continual improvement of reporting structure to allow for agile monthly reporting and reforecasting
- Comply with federal, state, and local legal requirements by studying existing and new legislation; enforcing adherence to requirements, filing financial reports; advising management and taking the lead as directed on required actions
ADDITIONAL SKILLS AND EXPERIENCE REQUIREMENTS
- Must be strong on software platforms including Excel
- Personality that gels with current staff
- Analytical skills
- Able to pass a Background Check in compliance with the Fair Chance Act
This is a fast-paced, dynamic environment. We are looking for team members who are flexible, reliable and know how to get stuff done. We are a fun, driven, entrepreneurial group focused on culture, community and quality.
We are an equal opportunity employer on the lookout for top-notch talent who truly wants to help us change the world.
Job Type: Full-time in our corporate headquarters near Van Nuys, CA
Sunderstorm is an Equal Opportunity Employer that does not discriminate on the basis of actual or perceived race, color, national origin, ancestry, sex, gender, gender identity, pregnancy, childbirth or related medical condition, religious creed, physical disability, mental disability, age, medical condition (cancer), marital status, veteran status, sexual orientation, genetic information, or any other characteristic protected by federal, state or local law. Our management team is dedicated to this policy with respect to recruitment, hiring, placement, promotion, transfer, training, compensation, benefits, employee activities and general treatment during employment.
Job Type: Full-time
Pay: $125,000.00 - $160,000.00 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:
- Panorama City, CA 91402: Reliably commute or planning to relocate before starting work (Preferred)
Education:
- Master's (Preferred)
Experience:
- GAAP: 1 year (Preferred)
Language:
- English (Preferred)
License/Certification:
- CPA (Preferred)
- CA Driver's License or ID (Preferred)
Work Location: One location
Apply for this job with Sunderstorm Inc
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Controller
Position Description
This position of Controller is for a Missouri licensed cannabis company based in St. Louis, Missouri. The ideal candidate will have direct supervision of all accounting and financial reporting functions. Responsibilities include controlling the monthly, quarterly, and annual close and reporting processes. Duties include the preparation of the yearly corporate budgets, assisting in the preparation of quarterly tax projections, and assisting in the 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 and develop systems to make the close and reporting processes more efficient and accurate.
Responsibilities
- Exhibit a thorough knowledge of accounting principles, practices, and procedures.
- Prepare monthly, quarterly, and annual compiled financial statements, including individual business units and consolidated results across business units and corporate entities.
- Calculate and issue a financial analysis summary of the monthly, quarterly, and yearly financial statements.
- Create cash flow reports for management on a regular schedule.
- Oversee bookkeeping functions at the company.
- The creation of annual business unit budgets.
- Company valuation projections.
- Acquisitions, divestitures, or other transactions.
- Relationships with lenders, investors, vendors, partners, and other parties as directed.
- Handle insurance policy renewals
- Create a budget for actual reports and offer analysis and analytical insight, including industry-standard performance metrics.
- Coordinate the preparation of annual tax returns with an outside CPA firm.
- Ensure proper account receivable collection and remittance across business units.
· Review of expenses incurred on behalf of multiple entities.
- Implement, document, and maintain adequate and effective internal controls.
· Preparation of monthly forecast incorporating historical results and future assumptions.
- Comply with local, state, and federal government reporting requirements.
- Provide clerical and administrative support to management as requested.
- Handle sensitive and confidential business matters with discretion.
- Demonstrate sound judgment in problem-solving involving multiple levels of the organization, including admin, IT, payroll processing, tax return preparation, and consulting engagements.
- Other responsibilities assigned from time to time.
Education:
- Bachelor's Degree in Accounting, Finance, 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 is a plus.
Job Skills and Requirements
· 5+ years of related work experience is required.
· 3+ years in a position equivalent to a controller or higher responsibilities.
· Advance computer skills in Excel, QuickBooks, or other accounting software and databases
· Excellent organizational, problem solving, project management, and communications skills
· Self-starter who can excel in a fast-paced environment with excellent written and verbal communication skills, friendly personality, and team-building leadership skills.
· National accounting firm audit experience is preferred.
Skills:
- Conscientious about the timeliness of assignments and quality of work product.
- Accountable for specific performance.
- Possess exceptional written and verbal communication skills, including the 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; Microsoft TEAMS, and Experience with larger ERP systems.
- Proficiency and experience with QuickBooks are required.
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.
- Responsive collaborator with the ability to quickly prioritize 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 President and other Senior Executives.
Background Check
· Must pass background checks and must be able to obtain a State of Missouri Marijuana Agent Card.
Conditions and Compensation
· This is an office-based position in the West County area.
· Compensation: $85-105K Base Salary
· We offer competitive health, dental, and vision insurance benefits for employees and dependents.
· We offer competitive paid time off
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.
If this sounds like the position you have been waiting for, please apply online. All inquiries are strictly confidential. Our focus is to assist you in making your best next career move, and we will not use your information for any other purpose.
Job Type: Full-time
Pay: $85,000.00 - $105,000.00 per year
Benefits:
- Dental insurance
- Flexible schedule
- Health insurance
- Paid time off
- Vision insurance
Schedule:
- 8 hour shift
- Day shift
- Monday to Friday
Ability to commute/relocate:
- Saint Louis, MO 63141: Reliably commute or planning to relocate before starting work (Preferred)
Work Location: One location
Apply for this job with US Canna Capital and Management
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Bachelor's (Preferred)
Accounting: 10 years (Preferred)
GAAP: 7 years (Preferred)
CPA (Preferred)
The Financial Controller is responsible for the finance department and functions including accounting, costing, analysis, budgeting, planning, cash management, and financial reporting of the Company. Duties of the position include:
- Oversees all general ledger and accounting practices including inventories, fixed assets, and payroll allocations.
- Manage monthly close process, including account reconciliation, journal entries, and financial statement preparation.
- Manage the Company’s accounting, costing, analysis, budgeting, cash management, and financial reporting.
- Oversee preparation of monthly, quarterly, and yearly financial reports and monitoring financial records, and maintaining accounts.
- Preparation of support schedules to assist in income tax reporting.
- Assure that accounting records are prepared, maintained, and reported in accordance with generally accepted accounting principles (GAAP) and that all ledgers reconcile.
- Oversees preparation of accurate and timely budgets, forecasts and financial strategic plans.
- Conducts financial analysis at the highest level to interpret trends, variances from budgets, and variances from standards and provides advice and counsel consistent with established financial policy.
- Directs maintenance of fixed asset records and reports including depreciation accounts.
- Establishes methods to assure proper capitalization and expensing by class.
- Approves departmental schedules, procedures, systems, and methods to ensure timely, informative, and accurate reporting of all financial data.
- Prepares reports required by regulatory agencies.
- Performs assignments as supervisors may direct; establishes and maintains effective work relationships within the department, the Company, and the vendor community.
- Maintains professional competence, knowledge, and skill necessary for the satisfactory performance of all assigned responsibilities.
Skills:
- An extensive, and complete knowledge of accounting principles and practices
- Strong Excel skills
- Excellent oral and written communication skills.
- Solid presentation skills.
- Analytical skills- must perform analysis, interpretation, and application to meet goals.
- Good planning and organizational skills are essential.
- A team player, willing to learn and contribute.
- Aggressive, results-oriented skills with a desire to meet plans, timing and cost targets willing to work through time-consuming problems to achieve the desired goal.
- Flexible and adaptable to a dynamic environment.
- Knowledge of QuickBooks Enterprise.
JOB QUALIFICATIONS:
Education:
- Minimum Bachelor’s, CPA or equivalent
Experience:
- 10+ years of progressive Accounting work experience
Field of Expertise:
- Accounting/Finance
Job Type: Full-time
Pay: $120,000.00 - $150,000.00 per year
Benefits:
- Dental insurance
- Health insurance
- Paid time off
- Vision insurance
Schedule:
- Monday to Friday
Supplemental Pay:
- Bonus pay
Education:
- Bachelor's (Preferred)
Experience:
- Accounting: 10 years (Preferred)
- GAAP: 7 years (Preferred)
License/Certification:
- CPA (Preferred)
Work Remotely:
- No
Apply for this job with Intrepid Personnel
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Salary
$90,000 - $115,000 a year
Job Type
Full-time
Number of hires for this role
1
Qualifications
CPA (Required)
Bachelor's (Preferred)
Accounting: 5 years (Preferred)
GAAP: 5 years (Preferred)
Human resources management: 5 years (Preferred)
Full Job Description
Financial Controller/Human Resource
Denver, Colorado, United States · Accounting
Description
Looking for an opportunity to employ your financial, organizational, and leadership skills?
We are an award-winning infused products manufacturer in Colorado that is experiencing rapid growth. We are seeking a well-organized, hands-on, and detailed financial controller who has a strong accounting background and great communication skills. The Financial Controller will be responsible for coordinating, directing, and executing the accounting, bookkeeping, and sales tax reporting for the Company.
Responsibilities
Assume responsibility for accounting software (Quick Books Enterprise) to ensure GAAP compliant financial reporting. Management of internal control over the company’s accounting and financial procedures.
- Planning, directing and coordinating all accounting operational functions
- Managing the accumulation and consolidation of all financial data for three entities for an accurate accounting of consolidated business results
- Coordinating and preparing internal and external GAAP based financial statements
- Providing management with information vital to the decision-making process
- Assessing current accounting operations, offering recommendations for improvement and implementing new processes
- Evaluating accounting and internal control systems
- Developing and monitoring business performance metrics
- Overseeing regulatory reporting, frequently including tax planning and compliance
- Oversight of payroll processing
- Managing and retaining our skilled accounting staff.
- File local and state informational returns/forms as needed
- Protect operations by keeping financial information confidential
- Manage Human Resource all areas of the business for compliance
- Additional special projects assigned by management
Requirements
- Certified Public Accountant (CPA or CMA)- required
Education and Experience
- Minimum 5-years Controller experience in manufacturing
- Experience consolidating related entities’ financials at month-end
- Cannabis industry experience a plus
- Experience working with start-ups a plus
Competencies, Skills, and Knowledge
- Expert in QuickBooks Enterprise
- Expert in Excel
- Experience in Fishbowl inventory software a plus
- Experience in Sales Force a plus
- Knowledge of 280E a plus
- Ability to work independently
- Ability to work under pressure and tight deadlines
- Strong knowledge of manufacturing / cost and GAAP accounting
- Strong Microsoft Office Skills (including PowerPoint)
- Strong communication skills (written and verbal)
- Strong interpersonal skills
Coda Signature embraces change and the opportunity it brings. We are focused on delivering quality products and customer service and are committed to recruiting, developing, rewarding, and retaining the best workforce in our industry. In addition to having a dynamic, team-oriented, and fun work environment, we offer competitive compensation and benefits.
· Medical, Dental, and Vision benefits
· Supplemental accident plans
· Company social events
· Training and development opportunities
For consideration, please send your resume and a cover letter that includes why you are the best person for this position and your salary requirements to careers@ codasignature. com.
Job Type: Full-time
Pay: $90,000.00 - $115,000.00 per year
Schedule:
- Monday to Friday
Education:
- Bachelor's (Preferred)
Experience:
- Accounting: 5 years (Preferred)
- GAAP: 5 years (Preferred)
- Human resources management: 5 years (Preferred)
License/Certification:
- CPA (Required)
Work Location:
- One location
Benefit Conditions:
- Waiting period may apply
- Only full-time employees eligible
Work Remotely:
- No
COVID-19 Precaution(s):
- Remote interview process
- Personal protective equipment provided or required
- Temperature screenings
- Social distancing guidelines in place
- Virtual meetings
- Sanitizing, disinfecting, or cleaning procedures in place
Apply for this job with Coda Signature
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Salary
$100,000 - $175,000 a year
Job Type
Full-time
Contract
Number of hires for this role
1
Qualifications
Bachelor's (Required)
Accounting: 5 years (Preferred)
GAAP: 2 years (Preferred)
CPA (Preferred)
Full Job Description
280E Accounting Practice Knowledge is a MUST! Do not apply if you do not have 280E tax classification accounting experience.
Introduction:
Looking to become a part of one of the fastest growing industries in the country? The chief financial officer position is accountable for the administrative, financial, and risk management operations of the company, to include the development of a financial and operational strategy, metrics tied to that strategy, and the ongoing development and monitoring of control systems designed to preserve company assets and report accurate financial results. The individual will also ensure compliance with all HPC Corporate operating procedures, as well as applicable federal, state, county, and municipal laws, regulations, ordinances, and regulations in regards to finance and record-keeping. Responsibilities include but are not limited to:
Key Duties and Responsibilities:
· Plan, lead and direct the implementation of strategic business plans.
· Provide timely and accurate analysis of budgets, financial trends, and financial reports.
· Work directly with executive team and Board of Directors to uncover financial opportunities and efficiency improvements for business.
· Develop financial and tax strategies.
· Manage the capital request and budgeting processes.
· Assist in formulating the company's future direction and support and monitor tactical initiatives that support the growth strategy.
· Develop performance measures and a management reporting platform that supports the company's strategic direction.
· Participate in key decisions as a member of the executive management team.
· Foster and maintain productive relationships with all members of the executive and management teams.
· Manage the finance, accounting, investor relations, legal, tax, and risk management departments/staff, policies and practices.
· Manage all third parties to which functions have been outsourced.
· Oversee the company's transaction processing systems.
· Implement operational best practices.
· Supervise acquisition due diligence and negotiate acquisitions if necessary.
· Oversee the issuance of financial information, regulatory filings and reporting of financial results to third parties.
· Establish and monitor relevant financial controls.
· Understand capital structure and goals and cash management strategies.
· Develop an industry presence and network of influencers to raise the profile and reputation of the company.
· Understand and mitigate key elements of the company's risk profile.
· Monitor all open legal issues involving the company, and legal issues affecting the industry.
· Construct and monitor reliable control systems.
· Maintain appropriate insurance coverage.
· Ensure that the company complies with all legal and regulatory requirements.
· Ensure that record keeping meets the requirements of auditors and government agencies.
· Report risk issues to the board of directors/executives.
· Maintain relations with external auditors and investigate their findings and recommendations.
· Monitor cash balances and cash forecasts.
· Arrange for debt and equity financing.
· Monitor and/or manage investment of available funds and other corporate assets.
· Maintain banking relationships, and represent the company with the investment community, investment bankers and investors.
· Hire and direct finance department staff, and conduct performance evaluations.
· Foster a high-performance culture through active leadership and create a strong sense of accountability within the department.
· Analyze and controls expenditures to conform to budgetary requirements.
· Operates in a highly collaborative manner with all departments to ensure alignment with overall finance strategy and tactical execution.
· Must be comfortable working next to others and be respectful of others’ workspace and environment.
· Must always conduct oneself professionally and with discretion.
Qualifications:
· Master's degree in Accounting, Finance or Business Administration
· 5+ years of progressively responsible experience for a mid to large size high growth company or division of a large corporation as a senior VP of Finance or CFO/COO role in a high-regulated industry.
· Should have experience in partnering with an executive team, and have excellent written and oral communication skills.
· Preference will be given to Diverse candidates with an MBA in Finance and the Certified Public Accountant or Certified Management Accountant designations as well as those with prior experience and knowledge of the cannabis regulatory environment.
· Must have a solid understanding of the Recreational Marijuana laws, rules and regulations and passion to further their understanding and knowledge of the industry and the laws.
Other General, Physical and Environmental Requirements:
· Must pass any, and all required background checks.
· Must be and remain compliant with all legal or company regulations for working in the industry.
· Must be a minimum of 21 years of age.
· Must be approved to receive an Agent badge.
· Ability to work a minimum of 8 hours a day.
Experience:
- Accounting: 4 years (Required)
- 280E Accounting: 2 years (Required)
License/Certification:
- CPA (Required)
Work Location:
- Multiple locations
Job Types: Full-time, Contract
Pay: $100,000.00 - $175,000.00 per year
Benefits:
- 401(k)
- 401(k) matching
- Employee discount
- Health insurance
- Referral program
Schedule:
- 10 hour shift
- 8 hour shift
- Monday to Friday
Supplemental Pay:
- Bonus pay
Education:
- Bachelor's (Required)
Experience:
- Accounting: 5 years (Preferred)
- GAAP: 2 years (Preferred)
License/Certification:
- CPA (Preferred)
Contract Length:
- 1 year
Contract Renewal:
- Likely
Full Time Opportunity:
- Yes
Work Location:
- Fully Remote
COVID-19 Precaution(s):
- Remote interview process
- Social distancing guidelines in place
- Virtual meetings
- Sanitizing, disinfecting, or cleaning procedures in place
Apply for this job with Magnolia LLC
Apply now →
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Cannabis Financial Controller (Contractor)
NorthStar Financial Services Group, LLC
Salary
$120,000 a year
Job Type
Full-time
Part-time
Contract
Qualifications
Bachelor's (Preferred)
Accounting: 5 years (Preferred)
Microsoft Excel: 5 years (Preferred)
Full Job Description
Northstar Financial Consulting Group is a premier accounting and finance firm servicing the cannabis industry. Northstar acts as a financial team to cannabis companies across the vertical, providing bookkeeping, accounting, controllership, and CFO services. Northstar is looking to add another controller to the team.
Position Summary:
The Cannabis Financial Controller will be a professional with strong accounting and analytical skills to be responsible for the company’s accounting and a variety of financial functions including the month-end close, hands-on day to day accounting operations (G/L and A/P), accounting research, systems implementations and process improvements. The Financial Controller is expected to function at a high level of expertise and competency and use sound judgment while producing consistent results. Have the ability to supervise accounting staff, while still being involved in the day to day details. Problem solving and initiative, with a strong desire to analyze, investigate, and resolve are essential elements for success in this position.
Responsibilities:
- Maintain thorough knowledge of state and federal Cannabis finance regulation
- Perform all Cost Accounting (inventory methods, standard costing, cost tracking, etc.)
- Implement policies, procedures, and processes as deemed appropriate to ensure financial and regulatory compliance
- Manage and maintain a chart of accounts; ensure effective management of standard journal posting and monthly account reconciliations; review journal entries required to reflect the monthly activity Maintain internal controls and safeguards for receipt of revenue, costs, and budgets. Overseeing processing of A/P, inventory and preparation and processing of payroll
- Prepare monthly, quarterly, and annual financial statements, perform/review monthly/quarterly account reconciliations, and complete monthly close procedures
- Review and/or preparation of monthly journal entries and supporting schedules/reconciliations including areas such as accruals and A/P, payroll, bank, inventory, prepaids, fixed assets, income tax, and credit cards. Prepare analysis that aids CEO in the decision-making process
- Bank Accounts/Cash Accounts and Purchase Order process management
- Participate in continuous process improvement to streamline, document and automate processes as well as enhance internal controls
- Work closely with outside tax preparation, consulting, and independent auditor relationships
- Responsible for all day at day accounting activities
Qualifications:
- Prior Cannabis Accounting experience required
- 5+ years public accounting/cannabis industry experience working in accounting
- Must have strong Cost Accounting background
- BA/BS in Accounting, Finance or related field
- CPA license highly preferred, but not required
- Strong ability to meet and exceed deadlines
- Manage multiple items at once and meet and exceed expectations
- Experience with ERP systems preferred, but not required
- Experience with an Inventory system preferred, but not required
- Strong organizational skills
Location:
- Remote Consultant or Contractor Position
OTHER SKILLS/ABILITIES:
- Solid attention to detail with excellent communication and organizational skills
- Able to multi-task and manage conflicting priorities while resolving problems quickly
- Able to react to change productively and handle other essential tasks as assigned
Job Types: Full-time, Part-time, Contract
Pay: $120,000.00 per year
Schedule:
- Monday to Friday
COVID-19 considerations:Fully Remote
Education:
- Bachelor's (Preferred)
Experience:
- Accounting: 5 years (Preferred)
- Microsoft Excel: 5 years (Preferred)
- Cannabis industry: 1 year (Preferred)
Contract Length:
- More than 1 year
Contract Renewal:
- Likely
Work Location:
- Fully Remote
This Job Is Ideal for Someone Who Is:
- Dependable -- more reliable than spontaneous
- People-oriented -- enjoys interacting with people and working on group projects
- Detail-oriented -- would rather focus on the details of work than the bigger picture
- Achievement-oriented -- enjoys taking on challenges, even if they might fail
- Autonomous/Independent -- enjoys working with little direction
Company's website:
- www.nstarfinance.com
Work Remotely:
- Yes
COVID-19 Precaution(s):
- Remote interview process
- Virtual meetings
Apply for this job with NorthStar Financial Services Group, LLC
Apply now →
By clicking the "Apply now" button, you'll be leaving Fazow and going to an external job application page for this company.
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.
Cannabis Financial Controller (Contractor)
NorthStar Financial Services Group, LLC
Northstar Financial Consulting Group is a premier accounting and finance firm servicing the cannabis industry. Northstar acts as a financial team to cannabis companies across the vertical, providing bookkeeping, accounting, controllership, and CFO services. Northstar is looking to add another controller to the team.
Position Summary:
The Cannabis Financial Controller will be a professional with strong accounting and analytical skills to be responsible for the company’s accounting and a variety of financial functions including the month-end close, hands-on day to day accounting operations (G/L and A/P), accounting research, systems implementations and process improvements. The Financial Controller is expected to function at a high level of expertise and competency and use sound judgment while producing consistent results. Have the ability to supervise accounting staff, while still being involved in the day to day details. Problem solving and initiative, with a strong desire to analyze, investigate, and resolve are essential elements for success in this position.
Responsibilities:
- Maintain thorough knowledge of state and federal Cannabis finance regulation
- Perform all Cost Accounting (inventory methods, standard costing, cost tracking, etc.)
- Implement policies, procedures, and processes as deemed appropriate to ensure financial and regulatory compliance
- Manage and maintain a chart of accounts; ensure effective management of standard journal posting and monthly account reconciliations; review journal entries required to reflect the monthly activity Maintain internal controls and safeguards for receipt of revenue, costs, and budgets. Overseeing processing of A/P, inventory and preparation and processing of payroll
- Prepare monthly, quarterly, and annual financial statements, perform/review monthly/quarterly account reconciliations, and complete monthly close procedures
- Review and/or preparation of monthly journal entries and supporting schedules/reconciliations including areas such as accruals and A/P, payroll, bank, inventory, prepaids, fixed assets, income tax, and credit cards. Prepare analysis that aids CEO in the decision-making process
- Bank Accounts/Cash Accounts and Purchase Order process management
- Participate in continuous process improvement to streamline, document and automate processes as well as enhance internal controls
- Work closely with outside tax preparation, consulting, and independent auditor relationships
- Responsible for all day at day accounting activities
Qualifications:
- Prior Cannabis Accounting experience required
- 5+ years public accounting/cannabis industry experience working in accounting
- Must have strong Cost Accounting background
- BA/BS in Accounting, Finance or related field
- CPA license highly preferred, but not required
- Strong ability to meet and exceed deadlines
- Manage multiple items at once and meet and exceed expectations
- Experience with ERP systems preferred, but not required
- Experience with an Inventory system preferred, but not required
- Strong organizational skills
Location:
- Remote Consultant or Contractor Position
OTHER SKILLS/ABILITIES:
- Solid attention to detail with excellent communication and organizational skills
- Able to multi-task and manage conflicting priorities while resolving problems quickly
- Able to react to change productively and handle other essential tasks as assigned
Job Types: Full-time, Part-time, Contract
Pay: $120,000.00 per year
Schedule:
- Monday to Friday
COVID-19 considerations:Fully Remote
Education:
- Bachelor's (Preferred)
Experience:
- Accounting: 5 years (Preferred)
- Microsoft Excel: 5 years (Preferred)
Contract Length:
- More than 1 year
Contract Renewal:
- Likely
Work Location:
- Fully Remote
This Job Is Ideal for Someone Who Is:
- Dependable -- more reliable than spontaneous
- People-oriented -- enjoys interacting with people and working on group projects
- Detail-oriented -- would rather focus on the details of work than the bigger picture
- Achievement-oriented -- enjoys taking on challenges, even if they might fail
- Autonomous/Independent -- enjoys working with little direction
Company's website:
- www.nstarfinance.com
Work Remotely:
- Yes
COVID-19 Precaution(s):
- Remote interview process
- Virtual meetings
Apply for this job with NorthStar Financial Services Group, LLC
Apply now →
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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.
#teamSHO leads the pack in innovation and continues to revolutionize the cannabis industry, reaching unimagined heights for solventless extraction with groundbreaking new products and technology. SHO Products is a fast growing company, which has more than tripled in size after its start in 2015.
*As a member of #teamSHO, employees are expected to be highly self-motivated, with a positive attitude, and the ability to work in a group setting as well as individually. We are looking for individuals who are passionate and committed to the continuous growth of the company.**SHO Products is looking for an individual with substantial experience as a Financial Controller, to undertake all aspects of the company’s financial management. Financial Controller is responsible for accounting activities, including but not limited to: preparation of financial statements, budgeting and strategic planning, data processing, expense categorization, account reconciliation, compiling and analyzing financial reports, tax preparation, and monitoring the overall financial performance of the company.**Requirements:
- Professional accounting designation, or an equivalent combination of related experience and/or education
- Highly proficient with accounting software such as Quickbooks
- A thorough knowledge of accounting principles and procedures
- Impeccable analytical and organizational skills
- Strong communication and interpersonal skills
**Objectives:
- Provide comprehensive financial updates to CEO and COO by evaluating, analyzing, and reporting appropriate data points
- Guide financial decisions by applying 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
**Compensation is 65-70k annually.**Additional Benefits:
Optional Group Health Insurance, Vision, and Dental (available following probationary period).
Possible Equity Compensation/Bonuses**Location: Position is available at SHO headquarters, located in Los Angeles.
Hours: Monday-Friday 10am-6pm*
Job Type: Full-time
Pay: $65,000.00 - $70,000.00 per year
Benefits:
- Paid time off
Schedule:
- Monday to Friday
Experience:
- Accounting: 1 year (Preferred)
- Microsoft Excel: 1 year (Preferred)
This Company Describes Its Culture as:
- Detail-oriented -- quality and precision-focused
- Innovative -- innovative and risk-taking
- Aggressive -- competitive and growth-oriented
- Outcome-oriented -- results-focused with strong performance culture
- Stable -- traditional, stable, strong processes
- People-oriented -- supportive and fairness-focused
- Team-oriented -- cooperative and collaborative
Work Remotely:
- No
Apply for this job with SHO Products, LLC
Apply now →
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Financial Controller for Cannabis Manufacturer
Sunderstorm Bay, LLC
Company
Join a fast-growing cannabis manufacturing and distribution company that has grown over 100% in the past year. One of the top ten brands in California, the company is now pursuing expansion into other states and is implementing a new accounting/ERP program to help scale its growth. The company has two licensed locations and is in full compliance with state cannabis laws. The complexity of cannabis taxation and regulation combined with the phenomenal sales trajectory of the company means that financial reporting and tax preparation are challenging. In addition, the company wants to prepare audited financials for 2020 to help prepare it for major capital investment. We are looking for an experienced controller with CPA to help guide us into the future. Management has Ivy League and Wall Street experience and wants to recruit someone who is up for the challenge.
Required Education and Work Experience:
- CPA (required)
- 10+ years of overall Accounting/Finance experience (required)
- Experience handling accounting for a manufacturing company (required)
- Strong technology skills (required)
- Thorough knowledge of Accounting principles and procedures, including US GAAP and Taxes
- Experience with cannabis accounting (eg 280E) important but not essential
- Proven track record of successfully managing people and processes
- Desire to build and manage a growing team
ESSENTIAL DUTIES
- Manage finance and purchasing team and related operations, including but not limited to, Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting, and Revenue Recognition
- Perform and Review month-end close and related reporting, prepare and publish monthly financial statements as needed/directed
- Perform analytical reviews of financial results
- Assist with developing and reviewing key performance indicators
- Develop an annual budget for the company and create long-term projections based on departmental needs and upcoming capital projects
- Oversee staff that handles Payroll Processing
- Establish, monitor and enforce internal controls
- Conserve time by reading, researching, and summarizing information to share with CFO, CEO, COO, etc.
- Function in accordance with established standards, procedures and applicable laws
- Manage and work with outside vendors including, but not limited to, auditors, brokers, etc.
- Updates to company financial model for monthly actuals and reforecasting
- Management of annual budget process; continual improvement of reporting structure to allow for agile monthly reporting and reforecasting
- Management of workflows and technology integrations across all departments to optimally control cash, credit cards, travel and other discretionary expenditures
- Design of new metrics and preparation of reports to efficiently manage cash flow and ensure budget goals are exceeded
- Ensure all bank accounts are in compliance with cannabis banking requirement
- Comply with federal, state, and local legal requirements by studying existing and new legislation; enforcing adherence to requirements, filing financial reports; advising management and taking the lead as directed on required actions
ADDITIONAL SKILLS AND EXPERIENCE REQUIREMENTS
- Personality that gels with current staff
- Analytical skills
- Able to pass a Background Check in compliance with the Fair Chance Act
This is a fast-paced, dynamic environment. We are looking for team members who are flexible, reliable and know how to get stuff done. We are a fun, driven, entrepreneurial group focused on culture, community and quality.
We are an equal opportunity employer on the lookout for top-notch talent who truly wants to help us change the world.
Job Type: Full-time in our corporate headquarters
Sunderstorm is an Equal Opportunity Employer that does not discriminate on the basis of actual or perceived race, color, national origin, ancestry, sex, gender, gender identity, pregnancy, childbirth or related medical condition, religious creed, physical disability, mental disability, age, medical condition (cancer), marital status, veteran status, sexual orientation, genetic information, or any other characteristic protected by federal, state or local law. Our management team is dedicated to this policy with respect to recruitment, hiring, placement, promotion, transfer, training, compensation, benefits, employee activities and general treatment during employment.
Job Type: Full-time
Pay: $125,000.00 - $150,000.00 per year
Benefits:
- Health insurance
- Paid time off
Experience:
- Accounting: 10 years (Required)
Education:
- Master's (Preferred)
Location:
- Los Angeles, CA (Required)
License:
- CPA (Required)
- CA ID or Drivers (Required)
Language:
- English (Required)
Company's website:
- www.sunderstorm.com
Benefit Conditions:
- Waiting period may apply
- Only full-time employees eligible
Work Remotely:
- No
Apply for this job with Sunderstorm Bay, LLC
Apply now →
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Controllership responsibilities
Cannabis Industry
Job Type: Full-time
Pay: $100,000.00 - $140,000.00 per year
Schedule:
- Monday to Friday
Work Location:
- One location
This Job Is Ideal for Someone Who Is:
- Dependable -- more reliable than spontaneous
- High stress tolerance -- thrives in a high-pressure environment
Benefit Conditions:
- Only full-time employees eligible
Work Remotely:
- No
Apply for this job with My Co
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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.
Cannabis Financial Controller
NorthStar Financial Services Group, LLC
Northstar Financial Consulting Group is a premier accounting and finance firm for the cannabis industry. Northstar acts as an outsourced financial department to cannabis companies across the vertical, providing bookkeeping, accounting, controllership, and CFO services. Northstar is looking to add another controller to the team.
Position Summary:
The Financial Controller will be a professional with strong accounting and analytical skills to be responsible for the company’s accounting and a variety of financial functions including the month-end close, hands on day to day accounting operations (G/L and A/P), accounting research, systems implementations and process improvements. The Financial Controller is expected to function at a high level of expertise and competency and use sound judgment while producing consistent results. Have the ability to supervise accounting staff, while still be involved in the day to day details. Problem solving and initiative, with a strong desire to analyze, investigate, and resolve are essential elements for success in this position.
Responsibilities:
- Maintain thorough knowledge of state and federal Cannabis finance regulation
- Perform all Cost Accounting (inventory methods, standard costing, cost tracking, etc.)
- Implement policies, procedures and processes as deemed appropriate to ensure financial and regulatory compliance
- Manage and maintain chart of accounts; ensure effective management of standard journal posting and monthly account reconciliations; review journal entries required to reflect the monthly activity Maintain internal controls and safeguards for receipt of revenue, costs, and budgets. Overseeing processing of A/P, inventory and preparation and processing of payroll
- Prepare monthly, quarterly, and annual financial statements, perform/review monthly/quarterly account reconciliations, and complete monthly close procedures
- Review and/or preparation of monthly journal entries and supporting schedules/reconciliations including areas such as accruals and A/P, payroll, bank, inventory, prepaids, fixed assets, income tax and credit cards
- Prepare analysis that aids CEO in the decision-making process
- Bank Accounts/Cash Accounts and Purchase Order process management
- Participate in continuous process improvement to streamline, document and automate processes as well as enhance internal controls
- Work closely with outside tax preparation, consulting, and independent auditor relationships
- Responsible for all day at day accounting activities
Qualifications:
- 5+ years public accounting / cannabis industry experience working in accounting
- Must have strong Cost Accounting background
- BA/BS in Accounting, Finance or related field
- CPA license highly preferred, but not required
- Strong ability to meet and exceed deadlines
- Manage multiple items at once and meet and exceed expectations
- Experience with ERP systems preferred, but not required
- Experience with an Inventory system preferred, but not required
- Strong organizational skills
Compensation:
- $120,000/yr salary plus benefits & bonus
Location:
- Remote
OTHER SKILLS/ABILITIES:
- Solid attention to detail with excellent communication and organizational skills
- Able to multi-task and manage conflicting priorities while resolving problems quickly
- Able to react to change productively and handle other essential tasks as assigned
Job Types: Full-time, Part-time, Temporary, Contract
Schedule:
- Monday to Friday
COVID-19 considerations:Fully Remote
Experience:
- Public Accounting: 5 years (Preferred)
Contract Length:
- More than 1 year
Contract Renewal:
- Likely
Additional Compensation:
- Bonuses
Work Location:
- Fully Remote
This Job Is Ideal for Someone Who Is:
- Dependable -- more reliable than spontaneous
- People-oriented -- enjoys interacting with people and working on group projects
- Detail-oriented -- would rather focus on the details of work than the bigger picture
- Achievement-oriented -- enjoys taking on challenges, even if they might fail
- Autonomous/Independent -- enjoys working with little direction
Company's website:
- www.nstarfinance.com
Work Remotely:
- Yes
Apply for this job with NorthStar Financial Services Group, LLC
Apply now →
By clicking the "Apply now" button, you'll be leaving Fazow and going to an external job application page for this company.
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.
SUMMARY:
We are assisting our client in the search of a Financial Controller to support their growth plans. Our client is a premier full service cannabis dispensary. The Financial Controller will be a professional with strong accounting skills to be responsible for the company’s accounting and a variety of financial functions including the month-end close, hands on day to day accounting operations (G/L and A/P), accounting research, and process improvements. The Financial Controller is expected to function at a high level of expertise and competency and use sound judgment while producing consistent results. Have the ability to supervise accounting staff, while still be involved in the day to day details. Problem solving and initiative, with a strong desire to analyze, investigate, and resolve are essential elements for success in this position.
RESPONSIBILITIES:
- Manage and maintain chart of accounts; ensure effective management of standard journal posting and monthly account reconciliations; review journal entries required to reflect the monthly activity Maintain internal controls and safeguards for receipt of revenue, costs, and budgets. Overseeing processing of A/P, inventory and preparation and processing of payroll
- Prepare monthly, quarterly, and annual financial statements, perform/review monthly/quarterly account reconciliations, and complete monthly close procedures
- Review and/or preparation of monthly journal entries and supporting schedules/reconciliations including areas such as accruals and A/P, payroll, bank, inventory, prepaids, fixed assets, income tax and credit cards.
-
Prepare analysis that aids CEO in the decision making process
- Bank Accounts/Cash Accounts and Purchase Order process management.
- Participate in continuous process improvement to streamline, document and automate processes as well as enhance internal controls.
- Work closely with outside tax preparation, consulting, and independent auditor relationships
- Responsible for all day at day accounting activities
EDUCATION and/or EXPERIENCE
- Five plus years public accounting/ industry experience working in accounting
- Grower accounting would be a plus, however not required
- BA/BS in Accounting, Finance or related field
- CPA license preferred, but not required
- Strong ability to meet and exceed deadlines
- Manage multiple items at once and meet and exceed expectations
- Experience with QuickBooks
- Experience with an Inventory system preferred, but not required
- Strong organizational skills
OTHER SKILLS/ABILITIES
- Solid attention to detail with excellent communication and organizational skills
- Able to multi-task and manage conflicting priorities while resolving problems quickly
- Able to react to change productively and handle other essential tasks as assigned
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Sisu Extracts is looking for a Controller
As a member of management, the Controller is responsible for direct supervision of all day to day accounting and financial activities. Primary responsibilities include supervision of daily and period end processes preparing, Period, Quarter and Annual reporting while supervising Accounts Receivable, Accounts Payable, Payroll Processing, Treasury functions, GL Activities and reporting. The controller will create and implement systems which align with the policies and procedures at Sisu Extracts.
Essential Duties:
- Direct and supervise the Accounting Team while following Sisu Extracts Policies and ensuring compliance with all applicable laws, rules, and regulations
- Preparation and review of period end financial statements
- Prepare and maintain cash flow forecasts and projections to effectively manage cash balances
- Perform analytical reviews of the monthly operating results to ensure the reasonability and accuracy of reports
- Direct the transactional processing of financial processes
- Book required journal entries to post period activity such as Payroll, Work Comp (if reporting) and Inventory
- Assist in the preparation of annual budget and periodic forecasts
- Coordinate the preparation of audits and tax returns with outside CPA firm
- Assist in maintaining all Corporate records and accounts
- Other responsibilities that may be assigned from time to time.
Education and Experience
- Bachelors and/or Master’s Degree in Business Administration with an emphasis in accounting.
- C.P.A. is preferred
- 5-10 years Management experience the accounting or finance
- Strong experience in both the private and public accounting sectors is preferred but not required
- Understanding of cannabis tax laws and cannabis business preferred
Skills
- GAAP and financial reporting technical skills
- Strong work ethic, accountability, and team mentality
- Timeliness
- Able to handle multiple tasks
- Ability to articulate concepts and recommendations in a clear and concise manner
- Ethical
We’re growing quickly, with a laser-focused, collaborative, small-company culture. We believe that people make a company great and we’re working to build a team of smart, passionate, high-integrity individuals who love working together and can take our brand into the future. Our leaders inspire and empower their teams to build our brand, innovating constantly.
Job Type: Full-time
Pay: $80,000.00 - $110,000.00 per year
Experience:
- Accounting/Finance Management: 5 years (Preferred)
Education:
- Master's (Preferred)
License:
- CPA (Preferred)
This Job Is Ideal for Someone Who Is:
- Dependable -- more reliable than spontaneous
- People-oriented -- enjoys interacting with people and working on group projects
- Adaptable/flexible -- enjoys doing work that requires frequent shifts in direction
- Detail-oriented -- would rather focus on the details of work than the bigger picture
- Achievement-oriented -- enjoys taking on challenges, even if they might fail
- Autonomous/Independent -- enjoys working with little direction
- Innovative -- prefers working in unconventional ways or on tasks that require creativity
- High stress tolerance -- thrives in a high-pressure environment
This Company Describes Its Culture as:
- Detail-oriented -- quality and precision-focused
- Innovative -- innovative and risk-taking
- Aggressive -- competitive and growth-oriented
- Outcome-oriented -- results-focused with strong performance culture
- People-oriented -- supportive and fairness-focused
- Team-oriented -- cooperative and collaborative
Schedule:
- Monday to Friday
- Overtime
- 8 hour shift
- 10 hour shift
- 12 hour shift
Company's website:
- sisuextracts.com
Benefit Conditions:
- Only full-time employees eligible
Work Remotely:
- Temporarily due to COVID-19
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Seeking a Full Time Controller professional to join our team at BISHCO and other co-owned entities.
With nearly 8 years in business, our busy office is focused on six entities that include Arizona licensed non-profit cannabis businesses and their related enterprises. Office is conveniently located at the I-10E/Chandler Blvd intersection in a business park area.
Flexible work hours. The position is being added due to the retirement of the existing long-term controller. Would consider FT Employee or contractor position.
Responsibilities:
- Keep up-to-date books for multiple organizations.
- Run payroll and handle all federal and state withholding filing and payments.
- Issue checks to vendors and contractors. Ensure the collection of all required documents and issue 1099s at year-end.
- Administer all sales tax calculations, filing, and payments for at least four organizations on AZTaxes.Gov.
- Administer 401k program.
- Benefits administration & tracking for staff.
- Assemble and file property tax documents with the applicable county assessor.
- Handle all entities corporation commission renewals.
- Assist required external auditors as requested (Three state licensed cannabis companies).
- Interface directly with owners.
- Respond to questions timely. Interface with some clients in the office.
- Prepare and issue the financial statements for monthly, quarterly and YE board meetings.
- Supervise and work with employees/contractors dedicated to supporting the Finance processes (currently 1 full-time bookkeeper).
- Educate staff on financial practices/set timelines/deadlines appropriately for all involved.
- Produce monthly or as needed client invoicing.
- Review of client contracts and prepare invoices for routine payments.
- Maintenance of Business docs for all entities.
- Timely filing of all documents/receipts for ease of accessibility as needed
- Other tasks as discussed with management.
Extensive experience with:
- QuickBooks & QBO (QuickBooks Expert a plus)
- Managing and maintaining accounts payable and accounts receivable
- Bank and Credit Card downloads and reconciliations.
- GL Management
- Employee Expense Management
- Cash flow management and reporting
- QuickBooks Financial Reporting and Statements (trial balance, balance sheet, P&L, Aging)
- Calculate and prepare sales tax payments
- Fixed Asset Management
- Preparing checks, Payments, and Bank Deposits
- Payroll Processing through QuickBooks
- Budget preparation assistance for each entity at the direction of staff
- Tracking staff benefits
- Tracking and filing state and federal payroll withholding
- Administering 401K program
Must have deep understanding of:
- GAAP - Generally Accepted Accounting Principles and Procedures
- Standard bookkeeping practices and principles
- Financial data analysis
- Human Resources
General Qualifications:
- CPA and Financial Controller experience a plus that could positively affect compensation.
- Strong organizational skills
- Utmost confidentiality.
- Bachelor's degree in accounting or higher-level degree
- 5+ years of experience with QuickBooks.
- Non-profit accounting experience a plus. (990s/990Ts).
- Desire to learn about accounting in a new industry that has unusual tax challenges (Cannabis Accounting)
- Strong writing, research, and analytical skills
- Professional and succinct communication, especially when responding to staff/client questions via email.
- Efficient and effective at maintaining current books for multiple companies.
Looking for a change and a challenge? Call James now! This is a permanent position and we are flexible with how to structure the compensation (hourly, salary, or contractor). Eager to hire on or before June 1, 2020.
We look forward to speaking with you and possibly adding you to our exciting and energetic team!
James Christensen | Founder | 480-403-4613
Job Type: Full-time
Salary: $45,000.00 to $120,000.00 /year
Experience:
- Quickbooks: 5 years (Preferred)
Education:
- Bachelor's (Required)
License:
- CPA (Preferred)
Additional Compensation:
- Store Discounts
Benefits:
- Health insurance
- Dental insurance
- Paid time off
- Flexible schedule
- Relocation assistance
Schedule:
- Monday to Friday
- Day shift
- Night shift
- 8 hour shift
- On call
Company's website:
- www.territorydispensary.com
Company's Facebook page:
- https://www.facebook.com/territorydispensaryaz/?ref=bookmarks
Benefit Conditions:
- Waiting period may apply
- Only full-time employees eligible
Work Remotely:
- No
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Job Description We are Claybourne, one of the fastest growing cannabis flower brands in California. Our team is known for being highly dedicated to our retail partners and consumers while going above and beyond with flower quality, flower consistency and innovative new product development. We are hiring an experienced, hard-working, entrepreneurial Controller to develop the financial framework of organization.
Summary:
Claybourne Industries Controller is responsible for preparing month-end closings, financial forecasts, and consolidations while providing financial advice to the departments through the study of financial data; meeting corporate reporting requirements; managing, training, and evaluating accounting personnel; ensuring accuracy of physical inventory; and controlling the flow of raw materials, tools, and other assets throughout the distribution and cultivation operations.
Duties and Responsibilities:
- Responsible for accurate and timely completion of monthly financial close including and presentation of results to management
- Coordination of annual budget, including the review, challenge, and approval of 1) all department budget (headcount and expenses) 2) capital budgets
- Directs preparation of standard costs for all items
- Safeguarding assets through development and implementation of procedures to ensure transactions are recorded in accordance with both corporate policy and GAAP
- Coordinating monthly review of inventory with the inventory management function
- Shares responsibility of coordination, taking and reconciliation of physical inventories with plant materials management
- Coordinates analysis of both the distribution and cultivation function’s actual and planned performance to achieve budgeted/forecasted goals and recommends alternate courses of action to achieve same
- Developing and maintaining staff through training and guidance to achieve the above responsibilities in a professional and timely fashion
- Directs accounts payable function and evaluates its performance against department objectives to ensure all functions are being performed according to corporate policy and GAAP
- Develops internal accounting reports that appraise management of the activity including, coordination of training to ensure management understanding and compliance
- Participates in the development of plans and strategies and determine the impact on the
Company's cost structures
- Remains aware of regional cannabis tax laws
Qualifications:
- 5+ years of experience in an accounting, pharmaceutical/ bio-tech/manufacturing industry is required
- BA/BS in Accounting (CPA desired)
- Possesses in-depth knowledge of cost accounting, inventories, and GAAP
- Proficient in Microsoft Office Suite and advanced Excel, pivot table, and VLOOKUP skills
- Multi-functional responsibility inside companies with heavy process orientation
- Proven experience with both lenders and private equity is desired
- Self-motivated professional, capable of working independently or as part of a team
- Excellent financial and problem-solving skills, with an emphasis on innovative and creative solutions that result in higher profitability
- A self-starter who needs little direction; is highly self-motivated
- Ability to work in a very fast-paced environment
Claybourne is an equal opportunity employer.
Job Type: Full-time
Job Type: Full-time
Experience:
- Controller: 5 years (Required)
Education:
- Bachelor's (Required)
Additional Compensation:
- Other forms
Work Location:
- One location
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Trimco is a cannabis processing (trimming) company located in Riverside, CA. We are proud to call several of California’s leading cannabis companies as our clients and are experiencing explosive demand for our services. To meet this demand, we are expecting to launch an additional 7-10 facilities throughout the state of California over the next 12-18 months. We are in search of a financial controller to support the CEO and COO as we scale the company.
This role is an opportunity for a proven finance professional to participate in the once-in-a-lifetime growth of the cannabis industry. The ideal candidate will have the combination of technical competences, entrepreneurial mindset, and leadership ability to support Trimco through a period of rapid growth. You will be able to immediately step into the role and lead the accounting and compliance departments. You will thrive in an environment that depends upon you to have an impact by creating and implementing systems, accurately performing accounting activities, and generating actionable insights that the company will make decisions upon.
Job responsibilities:
- Design and implement multi-site accounting and compliance systems across the company.
- Timely month-end close including P&L, balance sheet, and statement of cash flows.
- Prepare monthly management reports.
- Develop budgets and track actuals across multiple sites.
- Build and update financial models and forecasts.
- Manage financial controls, including daily cash management, payroll etc.
- Tightly control AP/AR to protect the cash position of the company as it scales.
- Develop and manage Capex budgets for new site launches.
- Design and monitor financial KPI’s across the company.
- Ensure all bank accounts are in compliance with cannabis banking requirement and maintain banking relationships
- Manage all tax obligations, including city and state cannabis taxes
- Manage compliance with the California cannabis track and trace system
- Support debt and equity capital raising activities
- Maintain an efficient system of policies that adequately control all financial management activities
Education, Qualifications, and Certifications
- Degree in accounting; CPA and/or MBA preferred
- At least 5 years of leadership experience in a financial management role
- Knowledge of the cannabis industry (highly desirable)
- Experience in companies with 100-1,000 employees, with operations across multiple sites
- Experience in a fast-growing entrepreneurial environment.
- Proven ability to design and implement financial management systems
- Proficiency with leading accounting packages (QuickBooks or others)
- Master-level financial modeling and budgeting skills in Excel
- Proven ability to self-manage and deliver projects with excellence.
- Excellent communication (both oral and written) and organizational skills
- Strong knowledge of US GAAP
- Desire to build and manage a growing team
Job Type: Full-time
Salary: $70,000.00 to $130,000.00 /year
Experience:
- startup/entrepreneurial: 2 years (Preferred)
- cannabis industry: 2 years (Preferred)
- controller/accounting: 5 years (Required)
Education:
- Bachelor's (Required)
Work Location:
- Multiple locations
Benefits:
- Health insurance
- Dental insurance
- Vision insurance
- Paid time off
- Flexible schedule
This Job Is Ideal for Someone Who Is:
- High stress tolerance -- thrives in a high-pressure environment
- Autonomous/Independent -- enjoys working with little direction
- Achievement-oriented -- enjoys taking on challenges, even if they might fail
- Dependable -- more reliable than spontaneous
Schedule:
- Monday to Friday
- Overtime
Apply for this job with Trimco
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.