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21/08/2025
Location: Tel Aviv-Yafo
Job Type: Full Time
Required Senior SAP Finance Project Manager
Join our team in implementing SAP S/4HANA Public Cloud, one of the most advanced and innovative ERP systems.
About the job:
As a Senior SAP Finance & Professional Services Project Manager, you will lead the financial workstream of a major digital transformation initiative.
This role involves close collaboration with cross-functional teams in Israel and abroad, coordination between financial and technological stakeholders, and driving impactful change in the organizations core systems.
Key Responsibilities
Lead the financial & Professional Services track of the SAP implementation project, including planning, execution, monitoring, and stakeholder alignment.
Translate existing financial processes into the new SAP S/4HANA environment.
Serve as the primary liaison between finance and IT teams, ensuring alignment of business requirements and system capabilities.
Collaborate with global teams, including regular communication in English with U.S.-based counterparts.
Requirements:
Certified Public Accountant (CPA) required.
Proven experience managing complex financial transformation projects required.
Experience with SAP systems required.
Familiarity with the professional services an advantage.
Excellent English, both written and verbal required.
Strong understanding of finance department operations.
Experience working on global projects an advantage.
This position is open to all candidates.
 
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12/08/2025
Location: Tel Aviv-Yafo
Job Type: Full Time and English Speakers
the leading and largest firm in the world for consulting and accounting services is looking for a Finance Transformation Consultant.
This position combines the worlds of finance and technology, focusing on process optimization, accounting consulting, the implementation of technological tools, and collaboration with teams both in Israel and globally. Youll be working in an environment that integrates information systems, accounting, actuarial science, and business processes, with opportunities for long-term involvement in horizontal roles and projects.
What You Will Do:
Provide consulting services on accounting and financial process optimization.
Implement and integrate technological tools within financial and accounting processes.
Collaborate with teams across Israel and internationally on a range of projects.
Engage in areas such as ITGC audits, SAP systems, and process improvement.
Work on projects within the financial sector, including banks and insurance companies.
Requirements:
Certified CPA - Mandatory.
2-3 years of experience (Including the internship period) - Mandatory.
Familiarity with information systems, including SAP systems (significant advantage for familiarity with FPSL).
Knowledge of BI systems - Advantage.
Familiarity with the financial sector, particularly banks and insurance companies - Significant advantage.
Good level of English - Mandatory.
Knowledge and familiarity with accounting standards, particularly IFRS 17- Advantage.
Experience with large organizations and horizontal processes - Advantage.
Strong independent learning ability, high motivation, and a proactive approach to tackling challenges.
This position is open to all candidates.
 
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12/08/2025
Location: Tel Aviv-Yafo
Job Type: Full Time and English Speakers
Join our Finance Transformation practice as a Senior Manager! We seek a highly motivated CPA to lead and innovate in finance and technology.
The practice combines work around the worlds of finance and technology and focuses on the areas of streamlining processes, accounting consulting, implementation and application of technological solutions.
Job Description:
Consult on projects integrating information systems, accounting, and business processes.
Develop client relationships and understand their needs.
Manage and mentor a team, fostering career growth.
Engage in business development within local and global teams.
Present and communicate effectively with senior management.
Requirements:
Certified CPA with 7-8 years of experience.
Proficient in English.
Strong knowledge of finance and accounting, especially in banks and insurance - An advantage.
Experience with SAP systems (FPSL preferred) and BI systems - An advantage.
Familiarity with IFRS 17 - An advantage.
Understanding of large organizations and horizontal processes.
Independent learner with high motivation.
Excellent presentation and communication skills.
This position is open to all candidates.
 
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time and English Speakers
we are growing and we want you to join us! Have you ever wanted to work for an industry leader? Well, how about an industry creator?!
were not just the leader in digital adoption, we started the digital adoption revolution - enabling organizations to measure, drive, and act to ultimately maximize the impact of their digital transformation and accelerate the return on their software investment. And with over 2,000 clients, including more than a third of Fortune 500 companies, working with us daily, were changing how enterprises interact with their technology.
So, if youre looking for an opportunity to work, collaborate, and innovate with some of the most talented people out there, we are the place for you!
we are looking for a strategic and analytical FP&A Manager to serve as a key finance partner to our technology functions: R&D, Cloud Infrastructure, and Tech Operations. This highly visible role involves close collaboration with engineering and DevOps teams to drive financial performance, unlock efficiencies, and support high-impact decisions.
What will you actually be doing?
Financial Planning & Forecasting: Lead budgeting, forecasting, and long-term financial planning across R&D, Cloud Infrastructure (AWS, GCP, Azure), and Tech Operations. Build and maintain financial models aligned with strategic and operational goals.
Variance Analysis & Reporting: Conduct monthly and quarterly variance analyses to track performance. Create and deliver executive-level financial reports and dashboards.
Cloud Cost Management: Collaborate with Cloud FinOps to monitor and optimize hosting costs. Identify cost-saving opportunities and support vendor negotiations.
Headcount & Resource Planning: Partner with HR and department leads to manage headcount plans, hiring forecasts, and attrition trends. Align resource planning with budget targets.
Strategic Initiatives: Support projects such as unit cost analysis, investment planning, and operational process improvements.
Cross-Functional Collaboration: Serve as a financial business partner to tech leadership. Translate financial data into clear, actionable insights for both tech and non-tech stakeholders.
Requirements:
Bachelors degree in Finance, Accounting, Economics, or a related field (MBA, CPA, or CFA preferred)
5+ years of FP&A or strategic finance experience, preferably in a SaaS or tech-driven company
Proven experience supporting R&D or engineering organizations
Advanced financial modeling skills and proficiency with Excel
Experience with ERP systems and business intelligence tools
Strong analytical and problem-solving abilities with attention to detail
Excellent written and verbal communication skills, including the ability to simplify complex data
Fluency in English
This position is open to all candidates.
 
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חברה חסויה
Location: Tel Aviv-Yafo and Yokne`am
Job Type: Full Time
We are looking for a Treasury Manager for the Finance team.

The Treasury Manager reports to the VP of Corporate Finance and oversees the global treasury operations.

We are headquartered in Yokneam and have offices in Tel-Aviv.

Key responsibilities:

Lead and develop the Corporate Treasury team and ensure talent development and coaching.

Manage the daily global treasury operations, including cash position, cash forecasting, bank account setup and maintenance, and bank credit lines.

Develop and maintain global cash flow forecasts and trend analysis.

Monitor global collection and maintain a close relationship with respective partners.

Implement hedging strategies to mitigate interest rates and foreign exchange risks.

Manage credit insurance and credit extension to customers.

Manage the global insurance portfolio.

Support M&A financing deals and post-acquisition activities.

Maintain credit rating agency relationships.

Prepare covenants and financial deliverables packages.

Support month/quarter-end closing and financial reporting processes.

Leading implementation of Treasury management system and other treasury tools.

Support or lead projects as needed.
Requirements:
A bachelors degree in accounting or finance from a reputable university is mandatory.
At least seven years of experience as a treasurer in a global setting.
Demonstrated expertise in managing multiple currencies in a global company.
Prior experience in public accounting is desirable.
Advanced Excel skills, including the ability to create sophisticated financial models and graphs.
Familiarity with SAP is an asset.
Very strong analytical skills.
Good leadership skills with the capacity to articulate a vision, educate and motivate teams, and influence decisions.
Experience in leading change in a dynamic and international environment, showing the ability to guide individuals from their current state to a desired
future state.
Ability to grasp the big picture while paying attention to the process and procedures required to produce deliverables.
Strong communication and interpersonal skills.
Structured, systematic, and able to manage multiple activities concurrently in a structured matrix organization.
Able to synthesize large amounts of detailed information from various parallel tasks into a clear progress report.
Fluent in English, both written and spoken, is essential.
This position is open to all candidates.
 
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1 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are currently looking for a talented and highly motivated Senior Controller to join our Group Finance team.
our company, a global fintech group that was founded in 2008 and is listed on the London Stock Exchange with a market cap of approx. USD 3.5 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, the United Arab Emirates, and Canada.
The successful candidate 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's 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
● Availability to travel to the HQ Haifa office approximately once a week, with flexibility as needed.
● 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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Location: Tel Aviv-Yafo
Job Type: Full Time
we are looking for an Assistant Financial Controller / Senior Accountant to join our growing team!
This is a great opportunity to be part of one of the fastest-growing infrastructure companies in history, an organization that is in the center of the hurricane being created by the revolution in artificial intelligence.
"our company's data management vision is the future of the market."- Forbes
we are the data platform company for the AI era. We are building the enterprise software infrastructure to capture, catalog, refine, enrich, and protect massive datasets and make them available for real-time data analysis and AI training and inference. Designed from the ground up to make AI simple to deploy and manage, our company takes the cost and complexity out of deploying enterprise and AI infrastructure across data center, edge, and cloud.
Our success has been built through intense innovation, a customer-first mentality and a team of fearless company ronauts who leverage their skills & experiences to make real market impact. This is an opportunity to be a key contributor at a pivotal time in our companys growth and at a pivotal point in computing history.
Role Overview:
We are seeking a motivated and detail-oriented accounting professional to join our growing Finance team as an Assistant Financial Controller / Senior Accountant. In this role, you will support core accounting operations, financial reporting, and compliance activities in a fast-paced, dynamic environment. You'll have the opportunity to work across functions, gain exposure to complex accounting topics, and grow within a collaborative and evolving organization.
Key Responsibilities
Assist in the monthly and quarterly close processes by preparing journal entries, reconciliations, and supporting schedules.
Help maintain general ledger accuracy and ensure proper documentation of transactions.
Support the preparation of financial statements and internal management reports.
Assist in the implementation and documentation of accounting policies and procedures.
Collaborate with financial controllers and cross-functional teams (e.g., legal, HR, R&D, operations) to ensure the completeness and accuracy of financial data.
Support the external audit process, including pulling data, preparing workpapers, and responding to auditor requests.
Help identify opportunities for process improvements and contribute to automation and efficiency initiatives.
Perform ad hoc analysis and support special projects as needed.
Requirements:
CPA with Big 4 experience (required)
3+ years of relevant accounting experience; experience in a multinational environment is a plus
Strong understanding of US GAAP and financial reporting standards
Tech industry experience
Strong analytical and problem-solving skills
Excellent communication skills and a collaborative working style
Advanced Excel skills; experience with ERP systems such as NetSuite is a plus
Exceptional attention to detail and organizational abilities
Self-starter with a proactive, hands-on approach; thrives in a high-growth, fast-paced environment.
This position is open to all candidates.
 
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5 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Were looking for a Controller to join our global accounting team! This role will report to the companys Director of Finance.
Why is this role so important?
The Controller will play a major role in our accounting team and will hold significant responsibilities related to month and quarter end close processes, as well as any other financial and accounting operations.
So, what will you be doing all day?
Your role as part of the Controllership team means your daily responsibilities may include:
Participate in the monthly, quarterly and annual closing process, including preparation of journal entries and flux analysis
Supporting the audit process with auditors including the provision of workpapers as required for quarterly reviews and annual audit
Preparation of annual tax returns and other statutory reporting requirements
Engaging in analysis of complex accounting and tax issues with outside advisors
Performing and implementing different internal controls to ensure SOX compliance
Verifying proper implementation of companys processes and policies
Working with AP and Billing team to ensure accuracy of financial records
Leading improvements in internal financial and system processes.
Requirements:
2 years of experience working in High-tech companies - a must
CPA with a Big 4 firm experience a must
English at high professional level a must
Strong knowledge and experience in US GAAP
Advanced knowledge in ERP Systems, such as NetSuite - an advantage
Experience with AI tools for finance - an advantage
High proficiency in Microsoft Excel
Accurate and detail-oriented with a high level of analytical skills
Able to work in a fast-paced environment, prioritize workload and meet tight deadlines
High level of independence and self-examination
Strong interpersonal and bilingual communication skills - written and verbal
Passion for innovative solutions and process improvement.
This position is open to all candidates.
 
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28/08/2025
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
The Company streamlines spend management with an intuitive platform serving both finance teams and employees. Our solution includes corporate cards, customizable request forms, flexible approval workflows, and Real-Time budget visibility integrated directly with ERP data. With AI-powered invoice processing and self-service purchase orders, reduces manual work for finance teams while maintaining transparency, control, and audit readiness. In this role, youll join a rapidly growing startup with an impressive global customer portfolio and play a critical part in our scale-up journey
About The Role:
Were looking for a Certified Bookkeeper (minimum level 2, level 3 preferred) to join our fast-paced, collaborative Finance team. You will be hands-on in managing financial transactions, closing processes, and operational accounting while using the platform daily to optimize finance workflows. This is a fantastic opportunity for someone who thrives in a dynamic environment, enjoys autonomy, and wants to grow within a scaling global tech company. Responsibilities
* Execute day-to-day accounting tasks and record financial transactions accurately.
* Manage local and international Accounts Payable, including invoice processing and reconciliations.
* Communicate directly with vendors and employees to resolve finance-related queries.
* Prepare workpapers for accruals and other month-end adjustments.
* Own the payment process from review to execution.
* Use and champion the platform to manage expenses, approvals, and automation across the finance stack.
* Support month-end, quarter-end, and year-end close processes.
* Assist with external audit preparation and financial documentation.
* Continuously improve accounting policies, workflows, and internal controls.
* Take part in ad hoc financial projects and cross-functional initiatives.
Why?
* Be part of a passionate, product-driven team creating real impact for finance teams globally.
* Work in a hybrid, flexible environment with competitive compensation and benefits.
* Use the platform internally and directly influence its evolution.
* Collaborate with seasoned professionals and leadership who value ownership and initiative.
* Grow with the company during this exciting expansion phase.
Requirements:
Certified Bookkeeper Level 2 required; Level 3 an advantage 5+ years of experience in bookkeeping
* Experience in a Hi-Tech or multinational company must
* Proficiency in NetSuite must
* High-level English (written and verbal) must
* Strong Excel skills
* Self-starter with a hands-on, can-do attitude
* Exceptional attention to detail and multitasking ability
* Strong team player with a service-oriented mindset
* Comfortable working in a fast-paced, scaling startup environment
This position is open to all candidates.
 
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
we are seeking a highly motivated and analytical Senior FP&A Analyst to join our Finance team. In this role, you will be a key player in driving financial visibility and supporting strategic decision-making across the organization. You will take ownership of budgeting, forecasting, financial analysis, and reporting, while partnering with cross-functional teams to optimize performance and resource allocation.
Key Responsibilities:
Planning & Forecasting: Lead the annual budgeting and quarterly forecasting processes, ensuring alignment with company goals and evolving market conditions.
Financial Analysis: Perform in-depth analysis of financial performance, identifying trends, variances, and key opportunities to support business decisions.
Reporting & Dashboards: Develop and maintain accurate and timely financial reports and performance dashboards to enable data-driven decision-making.
Business Partnering: Collaborate with key stakeholders across HR, Sales, Marketing, Operations, and other departments to understand financial needs and deliver actionable insights.
Variance Analysis: Analyze actual results versus budget and forecast, providing explanations and recommendations to address key discrepancies.
Process Improvement: Continuously identify and implement improvements to streamline FP&A workflows and enhance data accuracy and efficiency.
Ad-Hoc Analysis: Deliver high-impact analysis to support senior leadership in critical business decisions and long-term planning.
Requirements:
Bachelors degree in Finance, Accounting, Business, or a related field
4+ years experience in FP&A or a related finance role, preferably within a SaaS company
Strong understanding of financial modeling, budgeting, and forecasting methodologies
Advanced Excel skills, including modeling, pivot tables, and lookups
Prior experience managing or mentoring team members within a finance or FP&A function
Familiarity with financial systems (Netsuite, SalesForce) and the ability to learn new technologies quickly
Excellent analytical and problem-solving skills with strong attention to detail
Experience managing a team and strong leadership skills.
Ability to communicate financial concepts clearly to both finance and non-finance stakeholders
Proven ability to manage multiple priorities and work effectively under tight deadlines
This position is open to all candidates.
 
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for an Assistant Controller to join our amazing finance department and take a significant role in our corporate accounting team.
What will you actually be doing?
Play a key role in the monthly, quarterly, and annual closing processes
Prepare and analyse financial data and internal reports. Monitor progress and changes, and provide valuable insights
Provide professional guidance and assistance to the local controlling teams
Monitor and ensure the accuracy of financial data
Assist in the preparation of consolidated tax reporting schedules and the monitoring process
Prepare the share -based compensation consolidated and statutory financial periodical reporting
Lead and support the implementation of new processes as needed
Work with the Company's external auditors/advisors
Innovate and lead automation initiatives to improve efficiency
Develop and maintain internal controls and processes
Requirements:
CPA with a minimum of 2 years experience in one of the big 5
Excellent interpersonal and communication skills, both written and verbal
A hands-on and proactive approach to problem-solving
Strong analytical skills, detail-oriented and the ability to manage multiple priorities
Knowledge and experience in preparing financial statements according to US-GAAP and IFRS
Strong tax accounting knowledge and experience
Strong Excel skills and hands-on experience with financial systems
Experience with NetSuite - a strong advantage
Great organizational and time management skills
Ability to thrive in a fast-growing environment and meet tight deadlines
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
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