About the position
Healthy.io is the first company to successfully turn the smartphone camera into a clinical-grade medical device, enabling faster treatment and improved care for patients worldwide. Our products combine computer vision and machine learning technology with best-in-class UX design to create new clinical pathways through smartphone-powered urinalysis, digitized wound management, and beyond. Headquartered in Tel Aviv with 90 employees across the US and UK as the main markets the company operates in.
We are looking for a hands-on VP of Finance who will be responsible for overseeing all financial aspects of the company, including financial planning, budgeting and all accounting, tax, and payroll matters, as well as consolidated reports (Accounting and KPIs) for foreign subsidiaries, with timely and accurate reporting of all financial statements and reports.
Requirements
- Bachelor’s degree in Finance, Accounting, or a related field; MBA or CPA preferred.
- Minimum 7 years of experience in finance, with at least 3 years in a senior leadership role.
- Demonstrated expertise in inventory management and cost control.
- Strong understanding of complex income streams and revenue recognition standards.
- Proven experience in financial forecasting, budgeting, and financial analysis.
- Excellent leadership, communication, and interpersonal skills.
- Ability to operate effectively in a fast-paced and evolving environment.
- Experience with ERP systems (NetSuite preferred) and advanced financial modeling and Excel proficiency.
Role & Responsibilities
- Manage and oversee all aspects of the finance team, developing relationships within the Company that facilitate early discovery of issues and quick resolution and providing feedback and support across the organization
- Monitoring and reviewing the accuracy of financial data.
- Full responsibility for closing the reporting periods (monthly, quarterly, and annually) under the US GAAP.
- Work with external auditors and advisors on the preparation of consolidated financial statements, local reporting, and tax filings.
- Cash flow control includes billing, collection, vendor payments, and ongoing communication with banks.
- Maintain the company’s costing model
- International taxation, transfer pricing control
- Lead the company in collaborative financial planning, specifically cash flow forecasting
- Manage budget control and analysis to maintain rigor around expense spend and spending with a clear impact
- Maintain alignment between financial forecast reporting and business needs
- Design and deliver strategic financial planning, multi-year financial planning targets, and ad-hoc strategic and financial projects and efforts in partnership with our leadership team
or send your CV to [email protected]