We are seeking a dedicated and experienced Bookkeeper to join our Finance Team.
Responsibilities
Responsibility over bank reconciliations
Accounts Payable process including recording invoices, creating new vendors, process payments
Recording transactions for the Israeli and foreign companies of the group, such as purchases, expenses, revenues, invoices, payments, bank reconciliations etc
Performing Month-End tasks and processes, such as reconciliations (banks, credit-cards, e-wallets, acquirers), prepaid expenses, accruals, monthly reports, reporting to tax authorities, depreciation of Fixed Assets, intercompany charges and reconciliations
Manage cash-flow, employee reimbursements and travel reports
Produce other various miscellaneous reports, Ad-hoc tasks on consolidated level
Performing Year End tasks and supporting the audit process
Requirements: At least five years experience as a bookkeeper in a global High-Tech company
Experience with NetSuite advantage
Certified bookkeeper (Type 1+2)
High level of English (must) and proficiency in Microsoft Excel
Knowledge of local laws to comply with reporting requirements
Experience working in a multiple currency environment
Experience with audit-readiness processes
Knowledge and understanding in accounting and best practices
Well organized with high attention to details and ability to build processes
Excellent communication skills and ability to work independently and as part of a team
This position is open to all candidates.