About Title21 Health Solutions

Title21 Health Solutions is a leading provider of healthcare software, specializing in cutting-edge solutions for cell and gene therapy labs, biotherapeutic manufacturers, blood and marrow transplant centers, and other healthcare institutions. Established in 2001, Title21 is dedicated to delivering comprehensive, end-to-end digital tools that streamline operations, ensure compliance, and ultimately enhance patient outcomes. Our flagship products include the Cell and Gene Therapy Orchestration Platform, Blood and Marrow Transplant System, Enterprise Quality Management System (EQMS), and Manufacturing Execution System (MES). These solutions are designed to reduce administrative burdens, optimize workflow efficiency, and meet stringent regulatory requirements.

Position Overview

We are seeking a highly skilled Director of Finance (Corporate Controller) to lead and elevate the finance and accounting functions at Title21 Health Solutions. As a key member of our executive team, you will play a critical role in driving the financial strategy of a rapidly growing and well-capitalized healthcare technology company. This position offers a unique opportunity to contribute to Title21’s ambitious growth plans as we continue to expand our footprint in the healthcare IT sector. Title21 is recognized for its industry-leading, paperless solutions that empower healthcare organizations to achieve operational excellence and regulatory compliance.

Key Responsibilities

  • Financial Strategy & Leadership: Provide strategic financial direction by establishing and monitoring robust policies and procedures.
  • Financial Controls & Compliance: Assess and strengthen internal controls, ensuring adherence to tax regulations and accounting standards.
  • Financial Analysis & Reporting: Lead the analysis and interpretation of financial statements, including balance sheets, income statements, and cash flow projections.
  • Audit & Risk Management: Conduct internal audits, assess financial risks, and implement effective intervention strategies to mitigate potential issues.
  • Budgeting & Forecasting: Oversee the preparation of annual budgets, forecasts, and comprehensive financial reports. Review journal entries and ensure accurate account reconciliations.
  • Operational Efficiency: Optimize financial closing processes, billing, invoicing, expense management, and payroll administration.
  • Investment Management: Maximize returns on excess cash balances, coordinate investment activities, and maintain meticulous records of fixed assets.
  • Partner Oversight: Manage relationships with financial and administrative service partners, analyzing profit center performance and driving continuous improvement.
  • Process Documentation & Compliance: Ensure all financial processes are well-documented and comply with industry regulations.

 

Qualifications

  • Education: Master’s degree in accounting or finance, with a focus on corporate financial management.
  • Experience: Minimum of 7 years of experience in Finance/Accounting, with a strong background in financial administration. Experience with SaaS and Accounting 606 is essential.
  • Technical Expertise: Advanced proficiency in financial management software, particularly QuickBooks.
  • Regulatory Knowledge: Deep understanding of accounting standards and industry regulations.
  • Corporate Finance Acumen: Extensive experience in corporate finance, auditing, and performance management.
  • Leadership Skills: Exceptional organizational, leadership, and communication skills.
  • Location: This role requires an on-site presence in Phoenix, AZ