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פורסם ע"י המעסיק
17/04/2024
חברה חסויה
Location: Merkaz
Job Type: Full Time
an Exciting Group of Companies in the Heart of Israel! Are you a forward-thinking finance professional ready to embark on an exciting journey with a diverse group of online SaaS-based companies? Look no further! We're headquartered in Ramat Gan, and operate across various overseas markets. We're on the lookout for a dynamic to join our team and drive our financial strategy to new heights. What You'll Do: Financial Leadership: Take the reins in managing and leading our financial and finance departments. From budget planning to daily accounting tasks, including cash flow management, forecasts, P&L, and balance sheets, you'll be at the forefront of our financial operations. Performance Tracking: Keep a close eye on our business execution results by monitoring key performance indicators (KPIs) and identifying areas for improvement. Legal and Policy Guidance: Work hand in hand with our legal department to steer the company's legal and policy agenda, ensuring compliance and adherence to industry standards. Strategic Planning: Join management meetings and board consultations to contribute your insights and expertise in business formation and future planning.
Requirements:
What You Bring: Educational Background: A Bachelor's Degree in accounting, economics, or a related finance field is essential. Professional Certification: Certified CPA in Europe, Israel, or the USA is a must-have. Experience: Bring at least 7 years of experience in finance roles, with a solid track record in technology or internet companies. Knowledge of finance: Demonstrate proficiency in tax compliance, statutory reporting, and working with external auditors and financial authorities globally. Leadership Skills: strong leadership qualities, strategic thinking abilities, and excellent analytical skills. Bonus Points: An MBA would be advantageous, along with experience in public company affairs and fundraising activities. Why Join Us: Dynamic Environment: Thrive in a fast-paced, innovative work culture where your ideas are valued and encouraged. Growth Opportunities: Take your career to new heights with ample opportunities for professional development and advancement. Collaborative Team: Join a diverse team of talented individuals who are passionate about success and making a positive impact. Ready to take the next step in your career journey? Come be a part of our amazing organization and chart a course for success together!
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
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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הגשת מועמדותהגש מועמדות
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7692336
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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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עדכון קורות החיים לפני שליחה
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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
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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הגשת מועמדותהגש מועמדות
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עדכון קורות החיים לפני שליחה
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נאספה מאתר אינטרנט
10/04/2024
חברה חסויה
Location: Haifa
Job Type: Full Time
We are currently looking for a talented and highly motivated Senior Controller to join our Group Finance team in Haifa.
Plus500 Ltd., a global fintech group that was founded in 2008 and is listed on the London Stock Exchange with a market cap of approx. USD 2 Billion and included within the FTSE250 index.
At the heart of our business is our fully-owned and proprietary technology, which powers our trading platforms on OTC, share dealing, and Futures trading.
The Group operates in more than 60 countries and retains operating licenses in the United Kingdom, Australia, Cyprus, Israel, New Zealand, South Africa, Singapore, Seychelles, the United States, Estonia, Japan and the United Arab Emirates.
The successful candidate will report to the Group Head of Finance, will oversee all aspects of financial reporting, local tax submissions, and regulations. On-going cooperation, monitoring budget VS.
actual results, as well as the development of internal control policies and procedures. Responsibilities will also include managing and monitoring the financial activity with local management, external advisors, including external accounting firms, and periodic financial reporting. In addition, the role will require support in the implementation of new operations and regulations and the initiation of processes.
Responsibilities:
● Drive the Group periodic financial statement (monthly, quarterly and annual) close process, implement controls, monitor changes, oversee the close execution globally.
● Lead and be the finance focal point for the establishment of new subsidiaries (taxation, ERP, training for new service providers, monthly reporting package, etc.)
● Headquarter ad hoc tasks on deep accounting, taxes, and projects
● In charge of the external audit work, review of Audited Financial Statements, Tax Calculations and Non-Audit Reports.
● Monitor the compliance with local statutory reporting requirements and tax filings
● Work closely with subsidiaries, provide support and guidelines to the local finance teams
● Work closely and become a business partner of other units in the organization which affect financial reporting
● Oversee and review the financial data, AP, GL maintenance, Capex, reconciliations, allocation, FX gain/loss etc.
● Manage day to day analyses and management reporting, ensure proper internal controls.
● Prepare and analyze variances of budget vs. actual and set action plans to provide meaningful feedback
● Develop relationships with global teams.
● Overseeing the Group payroll process and ensuring the correct treatment and payment of all salaries, employee and employer obligations and the submission of all relevant forms to the authorities and the employees.
● Active player in the ERP (NetSuite) implementation
● In charge of the external audit work, review of Audited Financial Statements, Tax Calculations and Non-Audit Reports.
Requirements:
● CPA, Big 4 Alumni with High tech department experience.
● 5-8 years of experience in accounting and finance.
● Must have strong accounting knowledge and a strong business perspective.
● English - High proficiency
● Experience with adopting new systems or automating accounting processes
● Strong analytical, problem-solving, and decision-making skills
● Very organized, excellent multi-tasker, and great time management skills
● Ability to work independently, but also as a collaborator on a team
● Experience with NetSuite ERP Advantage
● Working experience in a fast-paced multinational company environment, with the ability to operate in diverse cultures.
This position is open to all candidates.
 
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פורסם ע"י המעסיק
01/04/2024
חברה חסויה
Job Type: Full Time
Who We're Looking For - The Dream Maker The Operational Controller will be responsible for managing operational revenues, monthly and quarterly closures, and financial reporting for a multinational company with global subsidiaries. We are looking for a driven candidate, passionate about accounting, and above all, a collaborative team member ready to contribute to our rapidly growing company. The Operational Controller will oversee revenue-impacting and related areas within the finance organization, including collection, billing, invoicing, revenue recognition, revenue forecasting, and enhancing and monitoring operational and accounting-based controls. Key Responsibilities:
* Participate in the monthly, quarterly, and annual closing processes, including preparing required financial statements and tax filings, and maintaining ongoing interactions with external accountants for our subsidiaries.
* Lead the implementation of a new ERP system.
* Assist in the preparation of consolidated financial statements.
* Provide periodic management reporting packages and reporting and analysis as needed, internally and externally to investors, auditors, etc.
* Develop and monitor commissions ROI reports for our BDRs, AEs, and SDRs.
* Develop and implement efficient financial processes to optimize the team's activities and provide quality services to stakeholders.
* Collaborate with local accountants to ensure compliance with local tax and statutory requirements.
* Coordinate with the company's external auditors and other consultants during interim and annual audits and address ongoing issues as needed.
* Support accounting and finance-related projects as required.
Requirements:
What It Takes
* CPA qualification with 2+ years experience with the Big 4 accounting firms - Must
* Proficiency in English - Must
* Strong analytical skills, including advanced Excel knowledge - Must
* Meticulous attention to details
* At least 2 years of relevant experience in a tech / fintech company
* Demonstrated work ethic, self-motivation, and independence
* Familiarity with Netsuite - Advantage
* Ability to thrive in a fast-paced environment and deadlines
* Excellent interpersonal and communication abilities
* Skills: Independent, multitasking, team-oriented, and exceptionally details - oriented Our Story Chargeflow is a leading force in fintech innovation, tackling the pervasive issue of chargeback fraud that undermines online businesses. Born from a deep passion for technology and a commitment to excel in eCommerce and fintech, we've developed an AI-driven solution aimed at combating the frustrations of credit card disputes. Our diverse expertise in fintech, eCommerce, and technology positions us as a beacon for merchants facing unjust chargebacks, supported by a unique success-based approach. Propelled by a recent $14 million funding round led by OpenView Venture Partners and key fintech investors, Chargeflow has embarked on a product-led growth journey. Today, we represent a tight-knit community of passionate individuals and entrepreneurs, united in our mission to revolutionize eCommerce and fight against chargeback fraud, marking us as pioneers in protecting online business revenues.
This position is open to all candidates.
 
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
 
נאספה מאתר אינטרנט
10/04/2024
חברה חסויה
Location: Haifa
Job Type: Full Time
We are currently looking for a talented and highly motivated Controller to join our Group Finance team in Haifa.
We are a global fintech group that was founded in 2008 and is listed on the London Stock Exchange with a market cap of approx. USD 2 Billion and included within the FTSE250 index.
At the heart of our business is our fully-owned and proprietary technology, which powers our trading platforms on OTC, share dealing, and Futures trading. The Group operates in more than 60 countries and retains operating licenses in the United Kingdom, Australia, Cyprus, Israel, New Zealand, South Africa, Singapore, Seychelles, the United States, Estonia, Japan and the United Arab Emirates.
The successful candidate will report to the Group Head of Finance, will oversee the aspects of financial reporting, local tax submissions, and regulations. On-going cooperation, monitoring budget VS. actual results, as well as the development of internal control policies and procedures. Responsibilities will also include managing and monitoring the financial activity with local management, external advisors, including external accounting firms, and periodic financial reporting. In addition, the role will require support in the implementation of new operations and regulations and the initiation of processes.
Responsibilities:
● Ensuring the timely and accurate preparation of the monthly, quarterly and annual closing process.
● In charge of the external audit work, including of Financial Statements.
● Ensuring that appropriate systems and internal controls are implemented and maintained throughout the Accounting & Finance processes.
● Headquarter ad hoc tasks on deep accounting, taxes, and projects
● Work closely with subsidiaries, provide support and guidelines to the local finance teams
● Responsible for oversight and managing the accounting systems entries.
● Manage and support day-to-day finance operations activities, including accounts payable, cash flow and banking transactions.
● Managing the Companys Taxation affairs via the calculation, provision and payment of all applicable taxes in a timely and efficient manner.
● VAT Reconciliation, review of all vatable entries, preparation of VAT reporting package.
● Monitoring the subsidiaries bank accounts and Daily bank account payments.
● Preparation of Budgeted Vs. Actual spreadsheets.
● Manage the financial reporting packages to the HQ by the subsidiaries and inter-company calculations.
● Review of the Subsidiaries Capital Adequacy ratios.
● Responsible for ensuring proper signatory rights are being implemented and followed on a Group level.
● Work closely and become a business partner of other units in the organization which affect financial reporting
● Review and analyze financial statements in accordance with International Financial Reporting Standards (IFRS).
Requirements:
● CPA, Big 4 Alumni with High tech department experience
● 3-4 years as a controller of a public company.
● In-depth knowledge in Excel.
● In-depth knowledge in NetSuite.
● English - strong written & oral communication skills.
● Well-organized and reliable.
● Strong knowledge and experience in IFRS.
● Experience with adopting new systems or automating accounting processes
● Ability to work independently, but also as a collaborator on a team
● Working experience in a fast-paced multinational company environment, with the ability to operate in diverse cultures
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
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7688577
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
 
נאספה מאתר אינטרנט
16/04/2024
חברה חסויה
Location: Hod Hasharon
Job Type: Full Time
A trailblazer in AI-powered Anti-Money Laundering (AML) solutions, offering cutting-edge technology to fintechs, banks, and regulatory bodies worldwide. Our mission is to enhance trust in financial transactions, ensuring compliant and innovative business growth.
Our technology empowers customers to expand into new markets and introduce groundbreaking products.
Why Join
you'll be part of a dynamic global team committed to redefining the financial services sector through technological innovation. You will contribute to creating safer financial environments and have the opportunity to work with some of the brightest minds in AI, ML, and financial technology. We offer a collaborative, inclusive, and forward-thinking work environment where your ideas and contributions are valued and encouraged.
Join us in our mission to revolutionize the financial world, making it safer and more trustworthy for millions worldwide. Explore exciting career opportunities at where innovation meets purpose.
We are looking for a Content and Public Relations Lead to join our dynamic Marketing team.
Responsibilities:
Will lead the written word communications for
Responsible for public relations - press releases, op-eds, newsjacking etc
Develop and own media relationships in relevant and diverse verticals
Will handle a variety of writing responsibilities including blogs, ebooks, brochures, web copy and more
Be an active part of other marketing initiatives and campaigns
Requirements:
3+ year of public relations and/or content writing experience (both - an advantage)
Experience in the fintech, payments or banking industry
Native English - required
Excellent writing skills - required
Organized and detail-oriented
Great communication skills
Multi-tasking ability
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
7695170
סגור
שירות זה פתוח ללקוחות VIP בלבד
סגור
דיווח על תוכן לא הולם או מפלה
מה השם שלך?
תיאור
שליחה
סגור
v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
 
נאספה מאתר אינטרנט
17/04/2024
Location: Tel Aviv-Yafo
Job Type: Full Time and English Speakers
We are looking for a Marketplace controller (Entry Level).
As a Marketplace Controller, youll dive into the dynamic world of cloud marketplace operations, offering juniors and entry-level individuals a hands-on experience in tech and cloud security.
Your role involves managing scalable operations, collaborating with sales teams globally, ensuring data accuracy, and staying updated on marketplace dynamics.
With a bachelors degree and fluent English, youll thrive with your strong organizational skills and fast learning abilities.
Join us to explore the exciting intersection of technology and business!
As part of the job, youll:
Manage scalable run the business activities of the Partner organization specifically Cloud Service Provider Program Management, Marketplace Private Offer transaction support, reporting, and other tools aligned to the CSP route to market.
Collaborate closely with company sales representatives, CAMs and CSP PDMs (AWS, GCP, Azure) to develop cloud marketplace Private offers on a global scale.
Work with internal teams to ensure accuracy and completeness of information across cloud marketplaces.
Stay updated with changes in the cloud marketplace landscape, including policies, algorithms, consumer behaviour, and evaluate their potential implications for the business.
Maintaining cloud marketplace accounts receivable files, records and perform account reconciliations of the marketplace transactions within the Company ERP.
Manage the company relevant tickets through the marketplaces.
Creating Sales Orders in our ERP system, help with the billing process and collection.
Assist with the day-to-day finance operations.
Manage the cooperation with the companys auditors on the annual audit and tax (Israel and US) filing.
Take part in our monthly, quarterly, and annual closing process and reporting.
Assist with special projects as required.
Requirements:
Bachelors degree in business administration/accounting/economics or related field a must.
Excellent and fluent English (written and verbal)- a must.
Knowledge of Salesforce, AWS/GCP/Azure portals- an advantage.
Team player with excellent interpersonal skills and excellent communication skills.
Fast learner.
Strong hands-on approach.
Proficiency in Microsoft excel.
Excellent organizational and time management skills.
knowledge in cloud marketplace operations an advantage.
Work experience in a SaaS company within the finance or Sales Operations departments an advantage.
CPA license an advantage.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
7697145
סגור
שירות זה פתוח ללקוחות VIP בלבד