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נאספה מאתר אינטרנט
14/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a Head of Finance with a deep understanding of finance, accounting, and financial modeling to fill a groundbreaking role. This position offers the chance to impact our financial operations and contribute to the overall success of the company. If you're ready to make a difference in a fast-paced environment, join us!
The impact you will have:
Develop and implement financial strategies to support business growth and profitability
Oversee all financial operations, including budgeting, forecasting, accounting, tax, and treasury functions
Sales Support: Work closely with the sales team to build compensation plans that align with company goals and motivate the sales force.
Develop financial models to support strategic decision-making, including pricing, capital allocation, and resource planning
Partner with business leaders to provide financial guidance and analysis to support strategic initiatives and ensure financial targets are met
Monitor financial performance and provide regular reporting to the CEO and board of directors
Ensure compliance with all regulatory and legal requirements related to finance and accounting
Develop and maintain relationships with external partners, including investors, banks, and auditors
Managing all tax planning and compliance with all required federal, state, local, payroll, property, and other applicable taxes.
Managing cash flow.
Building a finance department as the company grows.
Requirements:
10 plus years of managerial accounting and financial management experience
Experience working in a growing start-up environment
Deep understanding of financial modeling, budgeting, and forecasting.
Strong knowledge of sales compensation structures
Experience in an international environment with US and Israeli entities
Bachelor's degree in finance, accounting, or related field; MBA or CPA preferred Israeli CPA
Strong financial modeling skills, with experience developing complex financial models to support strategic decision-making
Excellent leadership, communication, and interpersonal skills, with the ability to build strong relationships with internal and external stakeholders
Strong organizational skills, attention to detail, and ability to prioritize and meet deadlines
Experience in the hi-tech industry, including knowledge of SaaS business models and revenue recognition principles
Ability to multi-task in a fast-paced environment with fluctuating priorities and deadlines.
Ability to work without direct supervision and efficiently manage tasks and time.
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
03/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: More than one
We are seeking a highly motivated and experienced VP Finance, with high attention to details and strong analytical skills to join our team and lead our financial and legal operations as we scale.
As the VP Finance, you will be responsible for overseeing both the financial and legal compliance of Nimble. You will play a pivotal role in shaping the companys financial strategy, managing the finance operations, optimizing the finance & legal processes, and ensuring the companys overall compliance with regulations. This is a hands-on role, reporting directly to the CEO and working closely with the leadership team
What Youll be Doing:
Develop and execute the companys financial strategy, aligning it with the overall business goals and objectives
Provide financial leadership and guidance to the executive team, advising on key decisions that impact the companys financial trajectory.
Lead budgeting, forecasting and risk management, identifying opportunities for cost optimization and resource allocation.
Manage cash flow, working capital, and treasury functions to ensure financial stability.
Manage the financial reporting process, ensuring accurate and timely preparation of financial statements, reports, and analyses for internal and external stakeholders.
Establish and maintain relationships with external partners, including investors, financial institutions, auditors, tax advisors, and other stakeholders.
Implement and maintain robust internal controls and compliance measures to safeguard company assets and ensure regulatory compliance.
Ensure the companys compliance with all relevant laws, regulations, and industry standards.
Draft, review, and negotiate contracts, agreements, and legal documents as required.
Manage relationships with external legal counsel and coordinate legal proceedings when necessary.
Requirements:
CPA, BA in Finance, Accounting, Business Administration, Law or a related field; MBA or relevant advanced degree preferred.
Proven experience (7+ years) in financial leadership and legal roles, preferably within startup environments or high-growth companies, Saas organization.
Experience with both US and Israeli operations is a plus
Strong understanding and knowledge of accounting principles, financial management principles, financial modeling, tax regulation and budgeting processes.
In-depth knowledge of legal compliance, contract negotiation
Proven experience with building a finance department an advantage
Demonstrated ability to develop and execute strategic financial plans that drive business growth and profitability.
Hands on with a problem-solving mindset, and a proactive approach to identifying and addressing financial challenges.
Experience in fundraising, investor relations, and managing financial partnerships.
Excellent analytical skills with a keen attention to detail and accuracy.
Exceptional communication and presentation skills, with the ability to convey complex financial information to non-finance stakeholders.
Proficiency in financial software and tools; experience with ERP implementation process is a plus.
Ability to adapt to a fast-paced and evolving startup environment.
Exceptional business partnering skills, with demonstrated ability to work cross functionally and at various levels within a company.
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
03/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
Are you a strategic & driven self-starter looking to take your finance career to the next level?
We are growing and looking for you! A skilled Finance Manager who will play a crucial role in helping us transform the day to day operations and tenant experience for the trillion dollar commercial and multifamily real estate industry.
We are the worlds first proactive building OS, that connects teams, tenants, and tech stacks together in a comprehensive set of easy-to-use collaboration, automation and AI-driven data insight tools. Our customizable interface works across all sectors of commercial and multifamily real estate to empower real estate owners to gain full visibility across their portfolio operations , and onsite building teams to seamlessly manage day to day operations and tenant experience, with a set of easy-to-use mobile and desktop apps and dashboards.
If you're looking for a position with tremendous impact and room to add your personal touch, then it's time to come to us!
Responsibilities
Oversee and analyze all financial operations and financial results (monthly, quarterly, and annual reports) with respect to cash burn, trends, costs, and compliance with budgets.
Lead FP&A functions, building business plans and models to achieve company objectives
Cash flow management.
Equity related matters, including managing the cap table, option plans etc.
Work with the Companys external auditors and ensure the timely and accurate filing of the Companys financial reports
Prepare tax returns and other statutory reports, including tax planning
Enhance and implement financial and accounting system processes, tools, and controls
Report financial results to the Board of Directors
Ensure alignment and compliance with legal, regulatory, and Company policies.
Drive the financial planning of the company by analyzing its performance and risks
Manage the companys financial policies, procedures, and practices, to ensure financial information is timely, accurate, complete, and compliant with US GAAP.
Build and manage Company Budget, Sales predictions and revenue model.
Requirements:
Bachelors Degree in Accounting and licensed CPA
Background from one of the BIG 4
3-4 years of experience leading finance in a high growth company in early stages to the next level, SaaS companies
Experience navigating the financial, tax, regulatory and compliance matters of a global company
Solid knowledge of financial analysis and forecasting
In-depth knowledge of corporate finance and accounting principles, laws and best practices
Working knowledge of MS Office (especially Excel) and Priority accounting software
Ability to work without direct supervision, and efficiently manage tasks and time.
A sense of urgency and ability to challenge conventional thinking
Excellent English written and verbal skills.
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
21/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time and English Speakers
We are looking for a Senior FP&A Manager to join our team.
In this position, you will be a key asset in the future growth of the company, reporting to the VP of Finance.
Youll play a significant role in analyzing our growing operation, developing business insights, provide financial consulting and strategic support to senior management , bringing your expert analytical ability to provide key insights, recognize important opportunities, create and maintain financial models and drive strategic initiatives forward , including preparing board presentations, financial presentations, capital expenditure analysis, industry/peer group comparisons, new business opportunities, acquisition analysis and other projects requested by senior management.
Responsibilities:
Develop and maintain financial models, forecasts, and budgets to support strategy
Act as the analytical engine of the company to provide insights and support optimal business decision-making.
planning, business initiatives, and performance evaluations
Playing a leading role in the annual budget and AOP processes
Define, calculate and monitor key performance indicators (KPIs), to drive actionable insights
Oversee and manage the continued development of Budgeting, Financial Forecasting, Operating Plan and Modeling tools
Ad-Hoc Reporting and Analysis
Improve performance by evaluating processes to drive efficiencies and understand ROI in marketing programs, menu pricing, new store rollouts as well as new projects
Monitor performance indicators, highlighting trends and analyzing causes of unexpected variance
Develop financial models and analyses to support strategic initiatives
Analyze complex financial information and reports to provide accurate and timely financial recommendations to management for decision making purposes
Supporting Senior Management Team and Departments heads with in-depth analysis
Prepare presentations to Board of Directors and Management Team
Requirements:
Bachelor's Degree in Finance, Accounting, Economics, or a related field
6+ years experience as a Financial Planning and Analysis
Excellent communication and presentation skills, with the ability to translate complex financial concepts into clear, concise insights for non-financial stakeholders
Exceptional analytical and problem-solving abilities, with a keen attention to details
Demonstrated ability to roll up sleeves and work with team members in a hands-on management capacity
Efficient and creative problem-solver
Ability to work independently
Fluent in English
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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נאספה מאתר אינטרנט
16/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
A global marketing tech company, recognized as a Leader by Forrester and a Challenger by Gartner. We work with some of the world's most exciting brands, such as Sephora, Staples, and Entain, who love our thought-provoking combination of art and science. With a strong product, a proven business, and the DNA of a vibrant, fast-growing startup, we're on the cusp of our next growth spurt. It's the perfect time to join our team of ~450 thinkers and doers across NYC, LDN, TLV, and other locations, where 2 of every 3 managers were promoted from within. Growing your career with basically guaranteed.
Our Finance team is growing and were looking for an FP&A Business Partner to join our team.
As an FP&A Analyst and Business Partner you will play a crucial role in supporting the financial planning, budgeting, forecasting and analysis activities of our business units. You will provide valuable insights into financial performance, supporting decision-making processes & KPIs, and ensuring alignment with strategic objectives.
You will also have the opportunity to work closely with Senior Management and participate in the corporate FP&A strategy, including reporting to our shareholders and understanding how we build and shape our financial strategy to fuel future growth.
Responsibilities:
Build and develop budgeting, periodic forecasting, financial analysis processes and operational metrics to provide data-driven decisions
Be the finance business partner and advisor to our business units: collaborate with Senior Management to align financial plans with operational goals and KPIs
Develop and maintain financial modelling, reports and dashboards for management to support strategic planning initiatives and decision-making processes
Prepare and analyze the companys financial processes e.g. Monthly Recurring Revenue (MRR), Budget vs. Actual, etc. and providing actionable insights
Conduct financial and operational analysis to identify trends, opportunities, and risks
Proactively improve, optimize, and automate financial processes to meet the needs of a dynamic and fast-growing business environment
Ensure compliance with accounting standards and internal policies
Requirements:
Bachelors degree in Finance, Accounting, Industrial Engineering or science-related field
4+ years of experience as FP&A / Finance Analyst / Economist must
Understanding of SaaS and relevant industry metrics advantage
Expert modelling skills and high proficiency in Excel, PowerPoint and analytical tools e.g. PowerBI
Be the gatekeeper with a mindset of growth enabler and the right approach of assertiveness
Business acumen with understanding of the big picture but also being able to deep-dive into details with high attention and a sense of accuracy
Highly motivated and self-sufficient in executing multiple projects with a sense of ownership
Ability to work in a fast-paced environment and manage multiple priorities under short delivery times
Excellent communication, presentation and problem-solving skills
Proficiency in English native-speaking level
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
15/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are seeking a highly motivated and experienced Controller to join our team as the first internal finance member. This is an exciting opportunity for a dynamic person who thrives in a fast-paced startup environment and is eager to impact our financial operations significantly. The controller will work closely with our external CFO and bookkeeper, be responsible for maintaining the financial ongoing activities and establish internal financial processes and systems, providing strategic financial guidance to our managers to ensure meeting budget constraints and compliance with relevant regulations both in the US and Israel.

Responsibilities
Manage day to day finance operations.
Take part in the monthly, quarterly, and annual closing processes, including preparing required financial statements and tax filings and ongoing interactions with external accountants.
Oversee payroll, payments and expense reports to ensure payroll is in accordance with local law and tax regulations. Working with our IL payroll accountant and US payroll service platform.
Establishing and maintaining financial key policies, procedures, and controls throughout the entire reporting process.
Working with the Company's external CFO, auditors/advisors on audit, accounting, and other matters to ensure compliance with local tax and statutory requirements.
Implementation of new BI tools and maintaining existing tools.
Assist with the preparation of management reports and board presentations.
Enhance budget monitoring across all departments.
Enhance, maintain and implement financial systems processes, tools, and control systems.
Design and execute compensation cross-company programs (MBOs, target letter, ect.)
Requirements:
CPA from one of the Big 4 accounting firms. Experience with High-Tech companies and US GAAP.
Minimum 3 years as a controller or assistant controller in a global high-tech organization in a growth stage.
Experience working in fast-growing startups with the ability to meet tight deadlines, and handle multiple priorities.
Excellent English (written and verbal)
Proficient with Microsoft Excel.
Experience in Quickbooks, NetSuite, and Salesforce -advantage
Strong analytical, interpersonal, and communication skills.
Highest standards of accuracy and precision; highly organized.
A hands-on and proactive approach to problem-solving.
Team player and service-oriented.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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נאספה מאתר אינטרנט
21/03/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
we are looking for a Director of FP&A.
With a deep understanding of financial planning, modeling, and analysis, the Director of FP&A will lead the financial team's budgeting, forecasting, long-term planning, implementation, and business strategic analysis. As a Director of FP&A, you will hold a high level of responsibility and trust within the organization. The ideal candidate for this role is independent, responsible, and professional and can work in a fast-paced environment with a cross-organizational team, deep knowledge of financial modeling (GTM in particular) of SaaS companies, and an understanding of commercial activities.
What youll be doing:
Lead the monthly, quarterly, and annual BvA processes and prepare ongoing reports to the companys stakeholders.
Build and maintain complex revenue forecast models and business plan; Responsible for sales transaction analyses & other profitability analyses
Develop financial models to help with planning, investment, and ROI analyses
Manage and build the companys annual operating plan (budget) and long-term financial operating plans
Deliver key financial forecasting, along with insightful performance reporting and analysis
Provide the analytical frameworks and strategic insights to identify risks and opportunities associated with the financial planning of the companys annual budgeting
Lead cross-functional teams with respect for budget modeling and BvA.
Work closely with various interfaces within finance (Accounting, Bookkeeping, Procurement) and other departments (Business Operations, GTM, GTP) in the organization.
Prepare management reports and commentary on the business, delivering insightful analysis
Ad-hoc projects, as well as automation projects and process improvements.
Requirements:
Bachelors Degree in Economics/Accounting/Business Management or a related field from an acknowledged university; MBA - an advantage
At least 2 positions (minimum 6 years) as an FP&A Director/Manager with a global SaaS company
Proficient with financial modeling; Excellent understanding of GTM modeling
Proven project management experience and presentation skills with high-quality service; Demonstrated leadership and superior analytical skills; 360 business view
Excellent computer skills; Significant experience using NetSuite (ERP) and SalesForce (CRM) a MUST
Analytical mind with excellent data collection and analysis skills
Outstanding communication and interpersonal skills
Fluent English (spoken and written)
Strong hands-on approach, challenge seeker, and self-learning ability
Bonus:
Experience using Looker or similar Data BI platforms
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
01/04/2024
חברה חסויה
Location: More than one
Job Type: Full Time
We are looking for a Tax Specialist to support our Israeli and International tax projects and activities. As part of our tax team, your responsibilities will be to build and maintain a strong, collaborative partnership with Accounting, Logistics, FP&A, Treasury, and other teams to lead complicated tax projects and remain compliant with tax laws and regulations, enabling effective decision-making at all levels to improve our companys financial and tax performance. This role offers a great career for an energetic professional with excellent interpersonal skills in dynamic and fast-paced environment.

What youll be doing:

Prepare and maintain detailed, high-quality tax-related documentation, ensuring compliance with regulations within timeframe.

Assistance in preparation of quarterly tax provision for multiple jurisdictions.

Assistance in preparation of complex statutory tax returns for multiple jurisdictions.

Work with external auditors, outside tax consultants and regulatory authorities.

Prepare and manage various projects related to international tax and transfer pricing.

Assistance in managing and coordinating tax audits.

Prepare reports for significant judgements taken in respect of a tax accounting issue.
Requirements:
What we need to see:

Bachelors degree in accounting, Finance, or related field.

Qualified CPA with Big 4 experience with 3+ years of experience in tax accounting or a related field.

Strong understanding of local tax regulations.

Detail-oriented with a high level of accuracy.

Ability to meet a tough deadlines, multi-task, and work in a multifaceted and fast paced environment.

Comfort working with data from different sources and providing significant analyses.

Excellent communication skills in English, written and verbal, with ability to distil complex matters in concise and sufficient detail and to succinctly identify and communicate key issues of importance.

Ability to lead processes and work independently.

Desire for knowledge and for continuous learning.

General understanding on industry technology, cost structure, and market dynamics in areas directly related to our products, research, and development.

Ways to stand out from the crowd:

MBA or advanced degree in Finance, Accounting, Economics, Laws, or related field with analytical bias.

Experience in US GAAP, FIN48, ASC 740.

SAP experience.

Ability to think strategically and plan effectively; be hands on, accurate, with attention to details and results oriented.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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נאספה מאתר אינטרנט
14/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Required Director of FP&A
The Director of Financial Planning and Analysis is responsible for working closely with senior management and functional leaders to budget, forecast, and analyze business performance. Responsible for all P&L items below Revenues and ex-TAC, this individual will guide the annual budgeting process, monthly forecasting, modeling and analytical support of growth and business improvement opportunities (e.g. Free Cash Flow). This role will be closely involved with the development and preparation of board and investor presentations, partnering with Investor Relations.
What will I be doing on a day-to-day basis?
Lead global financial consolidation efforts, to incorporate Connexity financials
Partner with I/S and others internally to implement new and expand functionality of existing financial systems
Lead annual Budgeting process for all Sales and Non-Sales Departments, requiring heavy and consistent collaboration with all internal partners, including HR Business Partners.
Create and co-present a full-year Forecast for senior leadership (on a monthly basis)
Collaborate with the VP, Investor Relations and others within the FP&A team to create documents (both internal and publicly-filed) for our quarterly earnings.
Develop presentations for regular Board of Directors and Audit Committee meetings
Non-Sales Department Business Partnering: provide ongoing support for budget management / questions, guidance on items like travel budgets, and other Operating Expenses.
Create and maintain monthly Budget vs. Actual reporting of Operating Expenses for all Non-Sales Departments.
Develop Monthly Regional Sales P&L reports. Maintain monthly cadence and partner with all Sales leads to help understand trends and profitability profile of their respective business.
Actively manage and mentor two analysts, helping them to partner throughout the year with budget owners and their designates, to provide timely information related to Actual vs. Budget tracking and other ad hoc requests.
Procurement Process: lead approving all Purchase Orders, company-wide, ensuring they are coded correctly and within budget guidelines.
Requirements:
10+ years experience in financial planning, budgeting, forecasting and analysis, with increasing levels of responsibility and seniority
Experience in leading and managing a finance team
Demonstrated experience in partnering with internal stakeholders
Strong multitasking skills with the ability to work on multiple, concurrent projects in a fast-paced and dynamic environment
Skilled in financial modeling and analysis
Bachelors degree in Finance, Accounting, Economics, or a related field
Advanced proficiency in ERP systems (e.g. NetSuite)
Excellent written and verbal communication skills with the ability to present financial information clearly to key internal stakeholders, including senior management.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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נאספה מאתר אינטרנט
21/03/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
The Controller (first role as big 4 alumni) is a key leadership position within our finance
department, responsible for overseeing all aspects of financial management, accounting,
and reporting. This role requires a detail-oriented, results-driven professional with a strong
understanding of financial processes, compliance, and strategic financial planning. The
Controller will work closely with the VP finance and other department heads to ensure the
financial health and stability of the organization.

Key Responsibilities:
1. Financial Reporting: Prepare and analyze monthly, quarterly, and annual financial
statements, ensuring accuracy, completeness, and compliance with Israeli GAAP and IFRS.
2. Financial Controls: Establish and maintain effective internal controls to safeguard
company assets, mitigate financial risk, and ensure compliance with all relevant laws and
regulations.
3. Dealing with payroll and invoices
4. Tax Compliance: Ensure compliance with local tax regulations, including the preparation
and submission of VAT reports.
5. Audit Preparation: Coordinate and lead external audits and reviews, working closely with
auditors to provide necessary documentation and explanations.
6. Financial Analysis: Conduct financial analysis, including variance analysis and cost
analysis, to identify opportunities for cost reduction and revenue enhancement.
7. Financial Systems: Oversee and maintain financial systems and software, ensuring they
are efficient and effective in meeting the organization's needs.
Requirements:
CPA certification
Prior experience at a Big 4 accounting firm
Strong knowledge of accounting principles, financial regulations, and reporting standards.
Exceptional analytical and problem-solving skills.
Proficiency in financial software and ERP systems (NetSuite preferred).
Attention to detail and high level of accuracy.
Ability to thrive in a fast-paced, dynamic environment.
Ability to collaborate and work well in a team
Working knowledge of MS Office (especially Excel)
Fluent in English
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
7662605
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דיווח על תוכן לא הולם או מפלה
מה השם שלך?
תיאור
שליחה
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
 
נאספה מאתר אינטרנט
4 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Our company is a fast growing startup in the sales automation space, backed by top-notch investors.
We help some of the best GTM teams in the world perform better by easily creating failure-free, interactive, and personalized demo experiences for B2B buyers at every stage of the customer lifecycle.
We are a young company that values culture, grit, transparency, and excellence.
We put our founding members at the very heart of our company and are looking for proactive self-starters who are excited about building within a new, rapidly growing and still to be defined category.
As companys FP&A Analyst, you will report to the Head of FP&A.
Your responsibilities will include providing financial insights and projections to the company's management.
You will provide reliable data and analysis to be used in decision-making and planning our growth and areas of investment.
You will prepare accurate monthly financial reports, assist in the preparation of presentations that provide thoughtful analysis, identify action items, and work in cooperation with key internal stakeholders.
What your day to day will look like:
Support the senior management team with financial planning, and KPI analysis.
Prepare management presentations and reporting packages.
Participate in Ad-hoc financial/business projects and initiatives.
Dive deeply into historical financial data to track, monitor the companys expenses.
Assist in implementing a designated FP&A software.
Assist in building the foundations of the rolling forecast modeling tool.
Enhance development of Budgeting, Financial Forecasting and Long Range Plan.
Partner with the Accounting team and collaborate and align reports.
Build and maintain complex financial models.
Develop and maintain effective relationships with business partners and cross-functional teams.
Requirements:
2+ years of experience in FP&A from a global high paced environment.
Minimum BA in Economics/Accounting - A Must.
MA in Economics/Finance/MBA An advantage.
Strong Proficiency with MS Office tools (Excel, PowerPoint and Word).
General knowledge of accounting/financial/operational principles.
Experience developing financial reports, modeling and analytics - A must.
Knowledge of metrics for SaaS companies - An advantage.
Interpersonal and communication skills with the ability to interact with various management levels.
Ability to manage multiple tasks and adapt to a changing, fast-paced environment.
Superior attention to detail and ability to successfully manage multiple competing priorities while maintaining a view of the big picture.
Demonstrated ability to drive projects and lead processes from A to Z.
Fluent in English and Hebrew, Spoken/written Must.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
7702678
סגור
שירות זה פתוח ללקוחות VIP בלבד