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18/01/2026
Location: Merkaz
Job Type: More than one
This position will be located in the Petah Tikva, Israel and will be responsible for providing financial support and leadership to manufacturing operations group.
You will work closely with the global manufacturing teams to analyze business trends, provide financial guidance and be a key contributor to the achievement of operational objectives
Key Responsibilities:
Perform monthly closing activities including preparation and approval of journal entries, and inventory related account reconciliations.
Manage inventory and related transactions, including physical to perpetual to general ledger reconciliations, journal entries, audit explanations, and standard costs.
Analyze inventory adjustments over set thresholds and work with production control to determine root cause and corrective action.
Analyze operating costs including ad hoc studies incorporating plant staffing, capacity and utilization, Purchase Price Variance and Make/Buy analyses; as well as other cost related projects.
Manage the periodic requirements of manufacturing systems to ensure timing and accuracy of standards and gross margins and provide meaningful analysis of results.
Provide cost accounting support to cross functional areas as requested.
Direct the development and review of cost analysis reports and work with operations to formulate corrective actions.
Prepare and present reports and presentations to senior management.
Participation in the process of building the company's annual budget.
Interact with Internal Audit and the independent public accounting firm on quarterly reviews and/or annual audit including Sarbanes Oxley(SOX) matters.
Other duties may be assigned as needed.
Requirements:
Graduate degree in finance, accounting, or another business-related field
1 year of experience as a Financial Analyst- a big plus.
Thorough understanding of Cost Accounting, COGS and Inventories - Advantage
High level English required
Strong Excel and Power Point capabilities is mandatory.
Strong understanding of fully integrated ERP systems (SAP is a plus) - Advantage
This position is open to all candidates.
 
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03/02/2026
חברה חסויה
Location: Kefar Sava
Job Type: Full Time
In this role you will play a key role in ensuring accurate and timely financial reporting, maintaining compliance with accounting standards , and supporting internal and external audit processes. This position requires strong analytical skills, attention to detail, and the ability to work collaboratively across departments.
Responsibilities (English)
Prepare monthly, quarterly, and annual financial statements and reporting.
Assist with the monthly close process, including journal entries, account reconciliations, and variance analysis.
Support regulatory and management reporting requirements.
Ensure compliance with relevant accounting standards and internal controls.
Collaborate with auditors by providing required documentation and resolving audit queries.
Perform ad hoc analysis and reporting as needed for internal stakeholders.
Assist in the development and implementation of process improvements and automation initiatives.
Maintain and update accounting policies and procedures documentation.
Monitor accounting developments and assess their impact on financial reporting.
Month end close reconciliation sub to main ledger
Supporting team leader's activities and day to day project.
Requirements:
Education:
Bachelors degree in accounting, Finance, or a related field (required)
Experience:
5 years of experience in accounting, financial reporting
Experience with global companies
Technical Skills:
Proficiency in Microsoft Excel and financial systems (Oracle, NetSuite)
Experience with reporting tools
Soft Skills:
Strong analytical and problem-solving skills
Detail-oriented with a high level of accuracy
Excellent communication and interpersonal skills
Ability to meet deadlines and manage multiple priorities- Month-end Close.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Caesarea
Job Type: Full Time
As Financial Controller, you will play a central role in shaping and scaling the companys finance organization, working closely with senior management and serving as a key partner to the Director of Finance and CFO.

This is a hands-on leadership role with full ownership over the companys accounting and financial reporting, spanning monthly close, revenue recognition, audits, tax and statutory reporting, and internal controls in a complex, global environment.

You will be instrumental in building robust processes, driving operational excellence, and ensuring the company is well-positioned to support growth, strategic initiatives, and US capital markets requirements

Responsibilities

Own the end-to-end monthly, quarterly, and annual close processes for a US public company, ensuring accuracy, timeliness, and compliance.
Prepare and review consolidated financial statements under US GAAP, including SEC reporting and audit support.
Serve as the primary accounting lead for external auditors, including financial, SOX, and statutory audits.
Lead complex accounting areas, including B2C/B2B revenue recognition (ASC 606), billing integrity, inventory, and purchase-to-pay cycles.
Design, implement, and maintain SOX controls and documentation, including ownership of the SOX matrix and key workflows.
Oversee accounting operations and P&L quality control, including supervision of the bookkeeping function.
Act as a key finance partner on ERP and finance systems, driving enhancements, integrations, and scalability.
Drive process improvements and ad-hoc projects to support growth, capital markets requirements, and regulatory compliance.
Own and manage the monthly, quarterly, and annual close processes, ensuring accuracy, completeness, and timeliness.
Prepare and review consolidated financial statements in accordance with US GAAP.
Serve as the primary accounting point of contact for external auditors (financial, SOX, and statutory).
Leading control on accounting areas such as B2C/B2B revenues and inventory
Ensure quality control over P&L transactions and supervision of the bookkeeping department.
Provide support to various stakeholders on our ERP and play a significant role to support ERP enhancement for our business scale.
Support system implementations, enhancements, and integrations related to accounting, billing, and reporting.
Identifying and establishing SOX matrix for the Companys workflows.
Review billing process and ensuring billing accuracy by monitoring the overall integrity of revenue generation.
Knowledge and understanding of ASC 606 and US GAAP accounting standards.
Leading the control over purchase to payment cycle.
Prepare local financial and tax filings.
Handle the audit cycle, as required by and in accordance with SEC regulations.
Assisting in the development and implementation of new processes and Ad-Hoc projects.
Requirements:
Bachelors degree in accounting, CPA qualification
Graduate of a big 4 at Hi-Tech department
At least 2 - 4 years experience after an internship
Strong knowledge of US GAAP
Experience with NetSuite or similar ERP systems - an advantage.
Excellent English, both verbal and written- must.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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20/01/2026
חברה חסויה
Location: Ramat Gan
Job Type: Full Time
We are looking for a talented controller to join our rapidly growing finance department.
As a controller, you will be responsible for key financial projects vital to our success. In addition, you will participate in monthly and annual financial reports preparation.
We are looking for you if you have strong technical skills, accounting and finance knowledge, and the drive to work in a fast-paced environment.
Responsibilities;
Global Cash Management and Liquidity:
Manage daily cash positioning, monitor bank balances, and manage the company cash transfers process to ensure optimal liquidity across all global bank accounts.
Review monthly bank accounts reconciliation for all operating accounts, investigating and resolving discrepancies promptly.
Prepare and maintain short-term and medium-term cash flow forecasts.
Monthly closing process:
Ensure the accurate reconciliation and closure of cash accounts in the general ledger.
Manage accruals and analyze their impact on financial reports.
Payment Processing and Clearers:
Own and manage the end-to-end payment process from execution through to posting, ensuring adherence to internal controls.
Monitor the transactions from various payment service providers (PSPs) (e.g., Stripe, PayPal, EBANKS) and the bookkeepers' reconciliations.
Analyze and account for transaction fees, interchange costs, and settlement variances.
Financial Risk Management (Hedging):
Manage the operational aspects of the companys FX hedging program, primarily focusing on foreign currency risk exposure arising from collections and disbursements.
Execute foreign exchange spot and forward transactions with partners.
Virtual Card Programs:
Serve as the administrator for the companys virtual credit card (VCC) platforms, managing card issuance, limits, and internal user support.
Ensure proper control and accounting reconciliation of all virtual card transactions and refunds.
Develop and implement internal policies and controls related to the usage of VCCs.
Execute foreign exchange spot and forward transactions with partners.
Revenues:
responsible for ensuring the accuracy and completeness of all revenue streams in compliance with relevant accounting standards.
Completeness and Accuracy: Be responsible for the completeness and accuracy of recorded revenue, performing detailed reconciliations and analysis to ensure all earned revenue is properly captured in the correct period.
Journal Entries: Prepare and review monthly revenue-related journal entries, including deferred revenue and accrued revenue entries.
Audit Support: Assist in external and internal audits by preparing supporting documentation and schedules related to revenue, deferred revenue, and accounts receivable.
Reporting: Prepare periodic revenue analysis reports for management, highlighting key trends and variances.
Revenue Recognition- Own the end-to-end revenue recognition process.
Process Improvement: Identify and implement improvements to the revenue accounting process and related internal controls.
Requirements:
3-5 years of experience in the Big Four AND a global Company
A significant advantage to experience in B2C startups/SAAS Companies
Bachelors degree in accounting, CPA qualification
Internship in one of the big 4 at Hi-Tech department- must
Strong knowledge of US GAAP, and Tax reporting requirements (sales tax and Euro vat - advantage)
Reliable and able to carry out tasks autonomously and collaboratively
Excellent English - written and verbal
Ability to thrive in a fast-paced, dynamic work environment
Strong knowledge of Microsoft Excel.
This position is open to all candidates.
 
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11/01/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a passionate and experienced Assistant Controller to join our finance team.
In this role, your responsibilities will Include, but wont be limited to:
-Assist in the preparation of quarterly and annual financial statements in accordance with IFRS.
-Prepare annual tax returns and other statutory reporting requirements.
-Support the monthly and quarterly closing process, including journal entries, reconciliations, and variance analyses.
-Prepare monthly internal financial reports and dashboards for management review.
-Work closely with the bookkeepers to ensure the accuracy of ongoing accounting matters.
-Collaborate with external auditors and consultants.
-Support the consolidation process of multiple entities.
-Monitor compliance with internal controls and financial policies.
-Support ongoing finance operations, special projects, and ad-hoc tasks as needed.
Requirements:
Wed love to hear from you if you meet the qualifications below:
-CPA (Israel) with 2-4 years of experience, preferably from a Big 4 accounting firm.
-Experience in auditing or working with public companies - an advantage.
-High proficiency in Excel; experience with ERP systems (e.g., SAP, Conto, Tableau), - an advantage.
-Strong analytical and problem - solving skills.
-Fluent in English and Hebrew - both verbal and written.
-Experience in real estate - an advantage.
-Highly motivated and willing to take on multiple responsibilities at once.
-Ability to work independently and as part of a team in a fast - paced environment.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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3 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Were looking for an Assistant Controller to join our global accounting team!
This role will report to the companys Team Manager, Corporate Controller.
Why is this role so important at our company?
The Assistant Controller will be part of our accounting team and will hold responsibilities related to month and quarter end close processes, as well as many other financial and accounting operations.
So, what will you be doing all day?
Your role as part of the Accounting team means your daily responsibilities may include:
Participate in the monthly, quarterly and annual closing process, including preparation of working papers, journal entries and flux analysis
Preparation of Companys consolidated Financial statements, quarterly Press Releases and other SEC Filings
Supporting the audit process with auditors including the provision of workpapers as required for quarterly reviews and annual audit
Supporting SOX Compliance processes, working with internal teams and external advisors
Supporting the implementation of new accounting standards in order to comply with US GAAP
Verifying proper implementation of companys processes and policies
Supporting the work of the AP team to ensure accuracy of financial records
Supporting billing-related processes and integration with financial systems
Ad-Hoc projects.
Requirements:
2-3 years of accounting experience (including internship) - a must
CPA with a Big 4 firm experience - a must
English at a very high professional level - a must
Strong knowledge and experience in US GAAP, experience with US public Companies- an advantage
Knowledge in ERP Systems, such as NetSuite - an advantage
High proficiency in Microsoft Excel
Accurate and detail-oriented with a high level of analytical and professional skills
Able to work in a fast-paced environment, ability to prioritize workload and meet tight deadlines
High level of independence and self-examination
Strong interpersonal and bilingual communication skills - written and verbal
Ability to maintain a high level of confidentiality and demonstrate a high level of maturity
Passion for innovative solutions and process improvement.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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13/01/2026
Location: Yokne`am
Job Type: Full Time
We are seeking an experienced Finance Manager to lead our Inventory & Operations Accounting team. In this role, you will oversee the financial management of inventory, production yields, strategic investments, and accounting reconciliations. The Finance Manager will serve as a key partner to Operations and Supply Chain leadership, providing financial oversight on inventory health, yield performance, and operational liabilities. You will ensure the integrity of financial data while managing reserves, forecasting, and control processes. The ideal candidate will have a deep understanding of inventory management, manufacturing operations, and financial controls. This role requires a confident, self-motivated individual who thrives in a fast-paced, changing environment.

What you'll be doing:

Team Leadership: Manage, mentor, and develop a team of financial analysts. Foster a culture of excellence, providing ongoing feedback and career development guidance.

Inventory & Reserve Management: Oversee the lifecycle of inventory finance, including the calculation, forecasting, and management of inventory reserves and releases.

Yields & Operational Forecasting: Lead the budgeting and monitoring of production yields and other direct cost elements. Analyze yield performance and manage associated financial reserves and forecasting models.

Financial Control & Reconciliations: Ensure the accuracy of the balance sheet through rigorous accounting reconciliations. Closing the books, compliance, audit, Validate accounts related to inventory, reserves, and operational accruals.

PO & Liability Monitoring: Manage the monitoring of Purchase Orders (POs) and open liabilities to ensure accurate financial reporting.

Investments Amortization: Oversee the tracking, reporting, and amortization of strategic operational investments.

Process Optimization: Identify and implement process improvements to increase efficiency and automation within the inventory and control functions.
Requirements:
What we need to see:

Bachelors degree in Accounting or Finance or equivalent experience. MBA or CPA is significantly preferred.

Minimum of 8 overall years proven experience in the high-tech sector with a background focused on Inventory Control, Operations Finance.

At least 3 years of direct people management or team leadership experience.

Experience with ERP systems, with a preference for SAP.

Strong English communication skills, both written and verbal, are required.

Proven ability to lead high-performing teams, manage conflicting priorities, and communicate complex financial data to non-finance executives.

Ways to stand out from the crowd:

Confidence, self-motivation, and high energy with the highest degree of ethics.

Experience presenting financial strategies to senior executive leadership.

Experience with MS Office (Excel, PowerPoint), SAP ERP, Power BI.

Enjoy working in a rapidly changing environment with multiple priorities.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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16/01/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a highly skilled and detail-oriented FP&A professional to join our finance team. In this role, you will be responsible for developing and maintaining the FP&A platform, creating complex financial models, supporting budgeting processes, and providing data -driven insights to drive strategic decision-making. You will collaborate closely with multiple teams, including subsidiaries abroad, to ensure financial plans align with business goals. This role requires a strong analytical mindset, proven experience in financial planning, and the ability to translate complex data into actionable recommendations.
What am I going to do?:

* Develop and maintain FP&A Platform
* Create financial models to support budgeting, forecasting, and long-term financial planning.
* Lead the budgeting process, working closely with stakeholders to ensure accurate planning and cost control.
* Perform variance analysis and provide meaningful insights on financial performance.
* Lead monthly forecasting cycles, including cash flow projections and scenario planning.
* Support payroll cost analysis and projections, ensuring accurate forecasting of compensation-related expenses.
* Collaborate with accounting on month-end closing and reporting processes.
* Partner with teams across the organization, including international subsidiaries, to provide financial guidance and ensure budget alignment.
* Deliver ad-hoc financial analysis and reports to support decision-making.
Requirements:
* 4-6 years in FP&A, with proven experience in financial planning, budgeting, and forecasting, preferably in the tech industry.
* Experience with EPM platforms such as Pigment, Anaplan, Planful, etc
* Strong analytical skills with the ability to interpret financial data and identify trends.
* Proactive and detail-oriented, with the ability to work both independently and in a team.
* Experience in payroll cost forecasting and workforce expense planning.
* Advanced proficiency in Excel/Google Sheets for financial modeling and data analysis.
* Fluent in written and spoken English.
* Familiarity with ERP systems (NetSuite is an advantage).
* Experience with BI /AI tools is an advantage.
* Experience with EPM or other planning tools is a strong advantage.
* Prior experience with any programming language is a plus. Tools & Systems We Use:
* Required: Excel/Google Sheets (advanced),
* Advantageous: ERP, Procurement Systems, CRM, HRIS, SQL
At our company, were not about checklists. If you dont meet 100% of the requirements for this role but still feel passionate about the position and think you have the right skills and qualifications to excel at it, we want to hear from you.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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3 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Were growing and looking to hire an Assistant Controller who embodies our core values: People First, Customer Obsession, Strive for Excellence, and Integrity.
we are on a mission to secure cyber-physical systems across industrial, healthcare, commercial and public sector environments: the Extended Internet of Things (XIoT). The company Platform integrates with customers existing infrastructure to provide a full range of controls for visibility, exposure management, network protection, threat detection, and secure access.
Our solutions are deployed by over 1,000 organizations at thousands of sites across all seven continents.
we are headquartered in New York City, with employees across the Americas, Europe, Asia-Pacific, and Tel Aviv. The company is widely recognized as the industry leader in cyber-physical systems protection, with backing from the worlds largest investment firms and industrial automation vendors, as well as recognition from KLAS Research as Best in KLAS for Healthcare IoT Security, the Deloitte Technology Fast 500, the Forbes Cloud 100, and the Fortune Cyber 60.
Responsibilities
As an Assistant Controller, Your impact will be:
As an Assistant Controller at our company, you will play a key role in supporting the finance team in maintaining accurate financial records, ensuring compliance with regulations, and contributing to the organization's overall financial health. This position offers excellent professional growth and development opportunities in a dynamic and fast-paced environment.
Financial Reporting:
Support month-end, quarterly, and year-end closing processes.
Ensure the preparation of accurate and timely financial statements.
Assisted with analysis of the company results and provided insights and recommendations for corrective actions as needed.
Payroll:
Supervise the payroll team and maintain accurate payroll records.
Oversee and manage payroll procedures, ensuring compliance with laws and tax obligations
General Ledger Management:
Maintain and reconcile general ledger accounts.
Ensure accuracy in coding and classification of financial transactions.
Compliance and Regulation:

Stay current on relevant accounting principles, regulations, and industry trends.
Assist in the preparation of audits, working closely with external auditors.
Assisted in the preparation of income tax filing for the local entities.
Support with tax Ed-Hoc compliances.
Process Improvement:
Identify opportunities for process improvements and efficiencies within the finance department.
Participate in the implementation of new financial systems or tools.
Cross-Functional Collaboration:
Collaborate with other departments to gather financial information and support decision-making.
Work closely with the Finance Manager and other finance team members to achieve departmental goals
Ad Hoc Analysis:
Conduct ad hoc financial analysis as management requests.
Assisted with ad hoc projects to implement tools and enhancement processes.
Requirements:
What do you need to succeed in this role?
Bachelors degree in Finance, Accounting, or a related field (CPA certified).
2+ years of finance/accounting experience.
Graduated from one of the Big 4 accounting firms.
Knowledge of accounting principles (ASC 606), and financial reporting (US-GAAP).
Proficiency in Microsoft Excel and other financial software.
Strong attention to detail and analytical skills.
Ability to thrive in a fast-paced and dynamic work environment.
Proactive and self-motivated with a demonstrated ability to work independently.
Preferred Qualifications:
Experience in the SaaS or high-tech industry.
Knowledge of NetSuite ERP.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Ra'anana
Job Type: Full Time
we are driving and leading the next generation networks with our solution. Founded to solve the data explosion challenge, our cutting-edge technology and solution have created a paradigm shift in the economy of networks.
We are experiencing accelerated growth and seek a detail-oriented and analytical FP&A Specialist to join our finance team. The FP&A Specialist will play a critical role in supporting business decision-making by providing financial insights, preparing forecasts, analyzing variances, and assisting in strategic planning. This position will collaborate across multiple departments to ensure accurate financial reporting and effective resource allocation.
Key Responsibilities
Develop, maintain, and improve financial models for forecasting, budgeting, and long-term planning.
Prepare monthly, quarterly, and annual management reports, highlighting key performance indicators and business drivers.
Perform variance analysis against budget, forecast, and prior year results, explaining business performance trends.
Partner with business units to provide financial insights that support operational and strategic decision-making.
Assist in the preparation of presentations and reports for senior management and stakeholders.
Support annual budget and periodic forecast processes, ensuring accuracy and timeliness.
Conduct ad-hoc financial analysis and scenario modeling to evaluate business opportunities and risks.
Collaborate with accounting to ensure accuracy of financial statements and data integrity.
Continuously improve processes and tools to drive efficiency in financial planning and reporting.
What We Offer
Opportunity to work closely with leadership and influence key business decisions.
Exposure to strategic projects and cross-functional collaboration.
A dynamic and supportive work environment with opportunities for professional growth.
Requirements:
Bachelors degree in Finance, Accounting, Economics, or a related field (Masters degree or CPA/CFA is a plus).
2-5 years of experience in FP&A, financial analysis, or a related role.
Strong analytical and problem-solving skills with attention to detail.
Advanced proficiency in Excel; experience with financial modeling and data analysis.
Familiarity with ERP and BI systems (e.g., NetSuite, Power BI, etc.) is desirable.
Excellent communication skills with the ability to present financial information to non-financial stakeholders.
Ability to work independently and collaboratively in a fast-paced environment.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8485747
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מה השם שלך?
תיאור
שליחה
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v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
27/01/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a highly skilled and detail-oriented FP&A professional to join our finance team. In this role, you will be responsible for developing and maintaining the FP&A platform, creating complex financial models, supporting budgeting processes, and providing data-driven insights to drive strategic decision-making. You will collaborate closely with multiple teams, including subsidiaries abroad, to ensure financial plans align with business goals. This role requires a strong analytical mindset, proven experience in financial planning, and the ability to translate complex data into actionable recommendations.
What am I going to do?
Develop and maintain our companys FP&A Platform
Create financial models to support budgeting, forecasting, and long-term financial planning.
Lead the budgeting process, working closely with stakeholders to ensure accurate planning and cost control.
Perform variance analysis and provide meaningful insights on financial performance.
Lead monthly forecasting cycles, including cash flow projections and scenario planning.
Support payroll cost analysis and projections, ensuring accurate forecasting of compensation-related expenses.
Collaborate with accounting on month-end closing and reporting processes.
Partner with teams across the organization, including international subsidiaries, to provide financial guidance and ensure budget alignment.
Deliver ad-hoc financial analysis and reports to support decision-making.
Requirements:
6+ years in FP&A, with proven experience in financial planning, budgeting, and forecasting, preferably in the tech industry.
Experience with EPM platforms such as Pigment, Anaplan, Planful, etc
Strong analytical skills with the ability to interpret financial data and identify trends.
Proactive and detail-oriented, with the ability to work both independently and in a team.
Experience in payroll cost forecasting and workforce expense planning.
Advanced proficiency in Excel/Google Sheets for financial modeling and data analysis.
Fluent in written and spoken English.
Familiarity with ERP systems (NetSuite is an advantage).
Experience with BI/AI tools is an advantage.
Experience with EPM or other planning tools is a strong advantage.
Prior experience with any programming language is a plus.
Tools & Systems We Use:
Required: Excel/Google Sheets (advanced),
Advantageous: ERP, Procurement Systems, CRM, HRIS, SQL.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8519732
סגור
שירות זה פתוח ללקוחות VIP בלבד