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נאספה מאתר אינטרנט
28/03/2024
חברה חסויה
Location: Merkaz
Job Type: Full Time
This is an amazing opportunity to join a quickly developing team and make an immediate impact on the business.

Responsibilities
Managing the companys daily operational cash flow according to the activity requirements.
Build Cash flow forecasting methodology and execution.
Preparing and reviewing the cash balance report on a weekly basis
Follow-up on global collection
Assisting with the global bank account openings, services maintenance, and related documentation (including KYC requirements) and signature authority as needed
Managing the global credit insurance policy
Issuing and managing the companys credit cards
Assisting with global insurance portfolio
Analyzing and managing banking fees/support internal improvements to lower fees with banks
Continually finding ways to improve and automate the reporting process.
Managing additional projects as needed
Requirements:
B.A. in economics, accounting, or similar domain
3-5 years of finance experience (Treasury, banking, insurance, etc.) in a global company
Fluent English and Hebrew
Highly experienced and skilled with detailed financial models (e.g., Microsoft Excel).
Highest standards of accuracy and precision
Ability to work across multiple time zones daily in a fast-paced work environment.
A roll-up-the-sleeves mentality and willingness to pitch-in and do whatever is necessary to grow and further streamline the business successfully.
Superior business problem solving, critical thinking, and prioritization.
Ability to work both independently and in a team, detail-oriented and execution-focused approach.
This position is open to all candidates.
 
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פורסם ע"י המעסיק
26/03/2024
חברה חסויה
Location: Petah Tikva
Job Type: Full Time
Medison is a global pharma company on a mission to help patients around the world get faster access to lifesaving, innovative, breakthrough therapies. We operate in 4 continents and over 30 countries and are growing fast. If you want to be part of our mission and help save patients by getting them the latest treatments, join us! As assistant Treasurer, you will work with the Treasury team to expand and automate Medison’s bank and cash activities. The Assistant Treasurer will play a central role in cash management and forecasting activities for Medison cash operations. You will coordinate our banking activities with a keen eye on optimizing liquidity and improving working capital. This is an amazing opportunity to join a quickly developing team and make an immediate impact on the business.

Responsibilities:

* Managing the company’s daily operational cash flow according to the activity requirements.
* Build Cash flow forecasting methodology and execution.
* Preparing and reviewing the cash balance report on a weekly basis
* Follow-up on global collection
* Assisting with the global bank account openings, services maintenance, and related documentation (including KYC requirements) and signature authority as needed
* Managing the global credit insurance policy
* Issuing and managing the company’s credit cards
* Assisting with global insurance portfolio
* Analyzing and managing banking fees/support internal improvements to lower fees with banks
* Continually finding ways to improve and automate the reporting process.
* Managing additional projects as needed
Requirements:
* B.A. in economics, accounting, or similar domain
* 3-5 years of finance experience (Treasury, banking, insurance, etc.…) in a global company
* Fluent English and Hebrew
* Highly experienced and skilled with detailed financial models (e.g., Microsoft Excel).
* Highest standards of accuracy and precision
* Ability to work across multiple time zones daily in a fast-paced work environment.
* A roll-up-the-sleeves mentality and willingness to “pitch-in” and do whatever is necessary to grow and further streamline the business successfully.
* Superior business problem solving, critical thinking, and prioritization.
* Ability to work both independently and in a team, detail-oriented and execution-focused approach.
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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פורסם ע"י המעסיק
27/03/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Gauzy is a world-leading material science company, focused on the research, development, manufacturing, and marketing of vision and light control technologies that support safe, sustainable, comfortable, and agile user experiences across various industries. We are looking for an experienced Cost Analyst specializing in costing to join our finance department. This role involves analyzing and managing cost-related data, ensuring the accuracy of the financial information, and offering insights to drive the optimization of cost structures. The position is integral to our company's success, requiring extensive collaboration and support across all departments, along with close cooperation with global markets. Joining the Gauzy team means being part of an elite group of innovators with a passion for creating future-defining and groundbreaking technologies that shape our everyday lives.

Responsibilities:

* Build and maintain a costing model for the manufacturing company organized by profit centers.
* Analyze and verify financial and operational data, collaborating with various departments, including operations, procurement, supply chain, marketing, and R&D.
* Perform cost analysis to identify areas for improvement and cost-saving opportunities.
* Work closely with the company's global sites.
* Support the analysis of sales and profitability and deliver financial forecasts to support the achievement of company goals.
* Participate in the annual budget planning and maintenance process.
* Be part of presentations for investors, management, and other stakeholders.
Requirements:
* Bachelor’s degree in finance, accounting, economics, industry engineering or another quantitative field
* 3-5 years of experience in a financial planning/economic department
* Proven experience in building costing models in a manufacturing company, including cost allocations
* Strong analytical skills and expertise in Excel (a must)
* Team player with the ability to self-start and direct work in an unstructured environment
* Detail-oriented, capable of multitasking, and prioritizing to deliver impact in a fast-paced environment
* Curiosity to learn about a complex business and a desire to grow as an analyst
* Experience with SAP B1 and SF is an advantage
* Fluent in English
This position is open to all candidates.
 
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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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פורסם ע"י המעסיק
26/03/2024
חברה חסויה
Location: Petah Tikva
Job Type: Full Time
Medison is a global pharma company providing access to highly innovative therapies to patients in international markets. Medison commercializes highly innovative therapies across international markets, helping to save and improve the lives of patients suffering from the most challenging diseases. Medison has a deep expertise in local regulatory and market access know-how with uncompromising compliance excellence. It offers an affiliate-like partnership and tailored-solutions for country-specific and regional commercialization, enabling emerging biotech companies to navigate local complexities and to expand their reach to patients in international markets. Medison is rapidly growing in the international markets backed by 25 years of established operations in Israel, global infrastructure and partnership network. Medison is headquartered in Israel, with its international markets HQ in Switzerland and commercial hubs across the Baltics, Central and Eastern Europe, the Balkans, Greece as well as Canada. The Corporate FP&A Manager oversees financial results & budget activities of Medison’s corporate. He/She monitors and consolidates the financial information and produces relevant reports. He/She delivers key financial forecasting, along with insightful performance reporting and analysis, while engaging various stakeholders in the company. He/She will report to Corporate FP&A Director.

Responsibilities:
Planning and Analysis: · Collaborate with various departments to develop and execute financial plans, including LRP, annual budget and forecast. · Oversee and manage the continued development of Budgeting infrastructure, Financial Forecasting, Operating Plan, and Modelling tools · Define and develop key financial KPIs with a high emphasis on labor analytics. · Provide insightful financial analysis and ongoing tracking of KPIs for monthly and quarterly results compared to plan, to inform company management. · Manage and consolidate the Planning of the entire company. · Support the development of the new Planning platform (Anaplan) · Prepare detailed analysis, trends and KPI presentations for key stakeholders, · Capture business dynamics though the monitoring of Non-economic Business Drivers and explains the impact of their evolution to the Business. Business partnering: · Developing Decision Support System to help Senior Leadership to take better informed decisions to steer the Business. · Prepare presentations incorporating analytics and recommendations to facilitate informed decision-making by senior management. · Financial business partner to the top management. · Acting as a subject matter expert for finance processes (for example accounting and P2P processes) towards Business to ensure precise and timely execution. Finance related activities: · Supporting all FP&A teams with cost classifications to ensure alignment with Company chart of account and expense monitoring, · Leading various ad-hoc analysis and process improvement projects to drive efficiency and scale, developing the company financial KPIs. · Implement the new planning system (Anaplan) within the relevant organization, taking it to additional planning capabilities. · Define and develop new BI dashboards. · Support implementation of new systems in the company · Lead the team throughout hyper growth period.
Requirements:
· B.A in Economics, Industrial Engineering, Accounting, or Business Administration (MBA is an advantage). · Over (10) years of experience in a global company, preferably in Pharma/Biotech with over 5 years experience as Corporate FP&A manager/Team leader. · Highest standards of accuracy and precision · Storytelling and presentation abilities (including building financial slides), collaboration skills. · Excellent interpersonal skills and ability to successfully maintain professional and trusting relationships and to work effectively with people at all levels in the organization, including C level. · W
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
28/03/2024
חברה חסויה
Location:
Job Type: Full Time
The Corporate FP&A Manager oversees financial results & budget activities of corporate. He/She monitors and consolidates the financial information and produces relevant reports. He/She delivers key financial forecasting, along with insightful performance reporting and analysis, while engaging various stakeholders in the company. He/She will report to Corporate FP&A Director.

Responsibilities
Planning and Analysis:

Collaborate with various departments to develop and execute financial plans, including LRP, annual budget and forecast.

Oversee and manage the continued development of Budgeting infrastructure, Financial Forecasting, Operating Plan, and Modelling tools

Define and develop key financial KPIs with a high emphasis on labor analytics.

Provide insightful financial analysis and ongoing tracking of KPIs for monthly and quarterly results compared to plan, to inform company management.

Manage and consolidate the Planning of the entire company.

Support the development of the new Planning platform (Anaplan)

Prepare detailed analysis, trends and KPI presentations for key stakeholders,

Capture business dynamics though the monitoring of Non-economic Business Drivers and explains the impact of their evolution to the Business.

Business partnering:

Developing Decision Support System to help Senior Leadership to take better informed decisions to steer the Business.

Prepare presentations incorporating analytics and recommendations to facilitate informed decision-making by senior management.

Financial business partner to the top management.

Acting as a subject matter expert for finance processes (for example accounting and P2P processes) towards Business to ensure precise and timely execution.

Finance related activities:

Supporting all FP&A teams with cost classifications to ensure alignment with Company chart of account and expense monitoring,

Leading various ad-hoc analysis and process improvement projects to drive efficiency and scale, developing the company financial KPIs.

Implement the new planning system (Anaplan) within the relevant organization, taking it to additional planning capabilities.

Define and develop new BI dashboards.

Support implementation of new systems in the company

Lead the team throughout hyper growth period.
Requirements:
B.A in Economics, Industrial Engineering, Accounting, or Business Administration (MBA is an advantage).

Over (10) years of experience in a global company, preferably in Pharma/Biotech with over 5 years experience as Corporate FP&A manager/Team leader.

Highest standards of accuracy and precision

Storytelling and presentation abilities (including building financial slides), collaboration skills.

Excellent interpersonal skills and ability to successfully maintain professional and trusting relationships and to work effectively with people at all levels in the organization, including C level.

Works effectively in highly dynamic and changing environments.

Strong and deep knowledge of labor analytics

Displays agility.

Analplan, NetSuite, Priority knowledge - an advantage

Experience in BI tools- an advantage

Excellent MS Office capabilities (Excel and PowerPoint)

Fluent in written and spoken English.
This position is open to all candidates.
 
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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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פורסם ע"י המעסיק
17/04/2024
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
This is us: we are where the creative arts meet technology. If theres one thing we all have in common, its a love of music and film, which is why we build innovative products to help global brands and individual creators make amazing videos. We do this by giving them the best music, footage, sound effects, and templates around. We also revolutionized the industry with a radical new music licensing model that has since become the global standard. we are now the go-to platform for over 26M users worldwide. They range from top-tier global brands like Google, Apple, Amazon, Microsoft, and Calvin Klein to social creators, video editors, and more. Our products:
*  an all-in-one platform for video creation, including high-quality and curated royalty-free music, SFX, footage, templates, plugins, and more.
* Motion Array: the ultimate destination for creators, including high-quality video templates by the worlds top motion designers, presets, plugins, music, SFX, stock footage, graphics for design, motion graphics, and stock photos. We are seeking a full-time FP&A Analyst to join our vibrant Finance Team in Tel Aviv. Wake up for this:
* Analyze financial data and trends, identifying opportunities and risks, and providing actionable insights to support strategic decision-making
* Collaborate with departmental leaders to gather and validate financial data, assumptions, and business drivers
* Prepare and present monthly, quarterly, and annual financial reports, including variance analyses and key performance indicators (KPIs)
* Participate in the annual budgeting and strategic planning processes, providing financial analysis and guidance
* Conduct ad-hoc financial analysis and scenario modeling to support business cases, pricing strategies, and investment decisions
* Continuously improve financial planning processes, tools, and reporting capabilities
* Assist in the development and implementation of financial policies, procedures, and controls
Requirements:
* Bachelor's degree in Finance, Accounting, Economics, or a related field
* Minimum of 3 years of experience in FP&A or a similar analytical role, preferably within a SaaS company
* Strong financial modeling and forecasting skills, with proficiency in Excel and other analytical tools
* Excellent analytical, problem-solving, and critical thinking abilities
* Solid understanding of accounting principles and financial statements
* Familiarity with financial software and tools such as ERP systems (e.g. Priority), BI tools (e.g., Tableau, Power BI), and financial planning software are advantageous
* Exceptional communication and presentation skills, with the ability to effectively convey complex financial information to non-finance stakeholders
* Proven ability to work in a fast-paced, collaborative environment and adapt to changing priorities
* High level of accuracy and attention to detail, especially when working with financial data and reports
* Familiarity with SQL for data extraction, manipulation, and analysis from relational databases is an advantage
This position is open to all candidates.
 
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נאספה מאתר אינטרנט
1 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
A 30-mile hiring radius should no longer dictate how companies hire because exceptional talent lives everywhere. A world without hiring borders and endless talent that pairs perfect candidates with great companies.
We offer global teams all the tools they need to hire, onboard, manage, pay, and scale at full speed. We aim to foster a diverse global economy by building a generational platform that seamlessly connects companies with talent worldwide.
After our successful Series D in 2021, we raised another $50M in 2023, doubling our valuation to $12B. Theres never been a more exciting time to the international payroll and compliance market leader.
Responsibilities:
Financial Systems Optimization:
Evaluate and enhance existing financial systems and tools to streamline processes and improve efficiency.
Collaborate with cross-functional teams to identify areas for automation and implement solutions to enhance finance operations.
Data Analysis and Reporting:
Develop and maintain robust financial reporting tools to provide real-time insights into key financial metrics.
Analyze financial data to identify trends, anomalies, and opportunities for improvement, presenting findings to relevant stakeholders.
Process Improvement:
Work closely with finance and other departments to identify opportunities for process optimization and standardization.
Implement best practices and continuous improvement initiatives to enhance overall finance operations.
Training and Development:
Provide training and support to finance team members on the use of financial systems, tools, and processes.
Develop and deliver training materials to ensure the team is proficient in utilizing finance enablement resources.
Cross-Functional Collaboration:
Collaborate with IT, operations, and other relevant departments to ensure seamless integration of finance systems with broader organizational infrastructure.
Act as a liaison between finance and IT teams to communicate requirements and drive system enhancements.
Requirements:
Qualifications:
Bachelors degree in Finance, Accounting, Business, or a related field. Masters degree or professional certifications (e.g., CMA, CPA) is a plus.
Proven experience in financial systems administration, process improvement, and data analysis.
Strong proficiency in financial software and tools (e.g., NetSuite, Snowflake, Looker, and data visualization tools).
Excellent analytical and problem-solving skills with a keen attention to detail.
Effective communication and interpersonal skills with the ability to work collaboratively across departments.
Demonstrated ability to lead and drive change in a fast-paced environment.
Prior experience in training and development is an advantage.
This position is open to all candidates.
 
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עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
7704990
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תיאור
שליחה
סגור
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
 
נאספה מאתר אינטרנט
17/04/2024
חברה חסויה
Location: Afikim
Job Type: Full Time and English Speakers
We are looking for a Data-driven, self-motivated and creative individual with strong operational, commercial, and analytical experience with outstanding interpersonal skills.
In this cross-functional role, the Business Operations Manager will support forecasting, operations and deal execution, will perform business and sales analysis, create dashboards and reporting, structure and enforce processes, and systems utilization with a clear aim to support the general success of the sales team and act as a liaison between the sales organization and all other business units.
Essential Duties and Responsibilities:
Support global data collection, forecasting, planning and processes used within the global sales organization.
Work closely with the operation team on planning and prioritization process to optimize availability and lead time delivery.
Serve as Global Focal point for sales ERP and CRM system requirements, maintain and improve data integrity within the system.
Proactively monitor and report on business KPIs on all GTM aspects.
Supports the equitable assignment of sales force quotas and ensures quotas are optimally allocated to all sales channels and resources.
Monitors the accuracy and efficient distribution of sales reports and other intelligence essential to the sales organization.
Requirements:
Bachelors degree (Finance / Industrial management / Business administration)
3-5 years of experience in sales operation role. Both commercial and operational experience strong advantage
Strong analytical skills
Familiarity with ERP systems, Priority an advantage
Experience using Salesforce.com advantage.
Ability to manage priorities and deliverables under tight deadlines.
Strong Excel knowledge
Planning abilities, detail-oriented
High accountability
Excellent interpersonal skills
A proactive can-do attitude, with the ability to work autonomously in a fast-paced, cross-functional environment.
English fluent in writing and speaking a 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
7697095
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שירות זה פתוח ללקוחות VIP בלבד