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חברה חסויה
Location: Herzliya
Job Type: Full Time
We are looking for a new superstar member to jump on board. We are looking for a hardworking, results-driven individual who is a team player at heart and wants to join in the companys success! The position is a full-time role within the Finance department's Accounts Receivable team.

The role of a Collections Specialist involves the task of conducting collection operations, which include overseeing overdue accounts, communicating with clients regarding payments, and addressing both simple and complex account-related inquiries. This role involves following a set of procedures and tasks, but it also requires good communication skills and the ability to work efficiently and independently.

What you'll do:
Manage overdue accounts: communicate with customers, resolve payment issues, and update AR records.
Reconcile accounts and payment records across providers.
Ensure timely and accurate cash application.
Generate customer statements and recommend escalations/write-offs.
Handle account adjustments and billing/payment queries.
Apply correct tax regulations and forecast collections weekly/monthly.
Analyze billing data to prevent errors and delays.
Requirements:
What you have:
Bachelors degree in Business, Accounting, Finance, or a similar field.
Minimum of 2 years of hands-on experience in Accounts Receivable, Collections.
Familiarity with ERP and CRM systems (e.g., NetSuite, Salesforce).
Process-oriented with strong organizational and analytical skills.
Ability to work autonomously with minimal supervision.
Excellent time-management, prioritization, and interpersonal communication skills.
Proficiency in Microsoft Office, especially Excel.
Fluent English (verbal and written).

Bonus Points:
Experience in the tech industry.
Multi-lingual capabilities.
Referral by an AppsFlyer employee.
This position is open to all candidates.
 
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חברה חסויה
Location: Herzliya
Job Type: Full Time
We are looking for a highly driven Revenue Controller to join our global finance team in a pivotal, high-impact role at the intersection of Finance, Sales, and Strategy.

This position sits at the core of the companys revenue engine, owning ARR integrity, influencing commercial decisions, and partnering closely with Sales to enable scalable and compliant growth.

You will operate as both a financial gatekeeper and a strategic advisor, with direct exposure to senior stakeholders and meaningful impact on business performance.

What you'll do:

Own the ARR Engine
Take full ownership of ARR and bookings, ensuring accuracy, consistency, and scalability across the organization.
Drive deep financial insights across key SaaS metrics, including forecasting, pricing analysis, and efficiency ratios.
Provide data-driven recommendations that directly influence business and growth decisions.
Play a critical role in the monthly global revenue close, ensuring timely, accurate, and compliant reporting.

Commercial & Strategic Business Partner
Partner with Sales throughout the deal lifecycle, supporting opportunity structuring in Salesforce.
Provide financial guidance on complex and non-standard deals
Act as a trusted advisor to Sales, Revenue Operations, and Business Operations.
Bring financial perspective into commercial discussions to improve deal quality and outcomes.
Support resolution of complex deal scenarios and strategic accounts.
Requirements:
What you have:
3-5+ years of experience in revenue controlling, FP&A, or similar roles in a global SaaS or technology company.
Strong understanding of SaaS revenue models and ARR mechanics.
Ability to work both independently and as a team player, quick study, and a good multitasker.
Exceptional analytical and problem-solving skills, with the ability to interpret complex datasets.
Advanced Excel skills.
Power BI, Pigment, SQL - an advantage.
Hands-on experience partnering with Sales on deal structuring and commercial negotiations.
Strong stakeholder management and business partnering capabilities.
Ability to operate both strategically and hands-on in a fast-paced environment.
High attention to detail with a process-driven mindset.
Ability to meet deadlines and work under pressure.
Advanced proficiency in spoken and written English.

Bonus Points:
Experience with ARR or revenue governance frameworks.
Strong familiarity with Salesforce (or similar CRM systems).
CPA certification.
Introduced by our team member.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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19/03/2026
חברה חסויה
Location: Herzliya
Job Type: Full Time
Join Nayax, a leading global fintech innovator (NASDAQ; TASE: NYAX) that is revolutionizing cashless payments, consumer engagement, and business management solutions. With over 1,200 employees across 12 offices worldwide, Nayax offers a diverse and dynamic environment where your work directly impacts the future of global commerce. We foster a culture of innovation, continuous learning, and data-driven decision-making. We are looking for a Controller to join our Corporate Accounting team . As a key function in our team, the Controller is responsible for both financial reporting and finance operations. The Senior Controller is overseeing the financial statements, serving as an accounting focal point for the FP&A team, building cross-organizational processes, executing of a comprehensive set of SOX controls designed to mitigate risk, enhance the accuracy of the company's reported financial results and ensure that reported results comply with the international financial reporting standards and SEC reporting requirements. The Controller will report directly to the Director of Corporate Finance. Your key responsibilities will include:
* Leading a monthly, quarterly and annual closing process to ensure accuracy of financial records including AP, accruals, billing team, revenue recognition, payroll journal entries, fixed assets, intangible assets and intercompany reconciliation.
* Prepare and review key matters in the consolidated financial statements and related disclosures for SEC filings, including 6-K and 20F reports.
* Work with subsidiaries teams, provide support and guidelines to the local finance teams.
* Coordinate with external auditors during the annual audit and quarterly reviews.
* Develop and maintain internal controls over financial reporting to ensure compliance with Sarbanes-Oxley (SOX) requirements Including accounting memorandums and documentation of company’s processes and policies.
* Assist with tax matters, transfer pricing studies and annual tax filings.
* Ad-hoc accounting and finance-related projects as needed, including system implementations and process improvements.

Learn More about Nayax:
Founded in 2005, Nayax provides an end-to-end platform for payments, empowering businesses to grow revenue, reduce operational costs, and deliver seamless commerce experiences. Our customer-first mindset and commitment to in-house innovation have positioned us at the forefront of the cashless payment revolution, serving the unattended and retail sectors around the world. We support over 80 payment methods in 60+ currencies, hold a European payment institution license, and have formed strategic partnerships with global financial institutions to deliver powerful, scalable solutions. With more than 1,200 employees across 12 global offices, Nayax operates in 120+ countries. Our global headquarters in Herzliya Hills, Israel, is our largest site, housing over 600 employees across 20+ departments. At Nayax, we believe in creating long-term impact through loyalty tools, omnichannel solutions, and an agile ecosystem of value-added services. We're proud to support businesses in reaching new heights and we're always looking for innovative, passionate individuals to join us.
Requirements:
What Makes You a Great Fit:
* Degree in Accounting and CPA license.
* Experience from big 4 - preferred experience from public company or Hi-tech/Fin-tech companies.
* ~3-4 years of accounting experience after internship from Big 4.
* Monthly, quarterly and annual closing experience in a public company is a big plus.
* Netsuite experience - must.
* Knowledge of IFRS.
* Analytical, dedicated, high motivated.
* Finance operations skills.
* Excellent English skills.
* Team player with strong communication and interpersonal skills. ?Behavioral Competencies
* Strive for Results- Takes ownership on achieving results. working on multiple projects by demonstrating excellent time ma
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Herzliya
Job Type: Full Time
We are looking for you, an out-of-the-box thinker who can deliver on-demand.
Come join our world-class finance team and be part of history in the making.

What you'll do:
Lead the monthly and quarterly-end closing and deliver end-to-end reporting package.
Prepare annual tax returns and statutory reports - Work directly with the external audit team to ensure all financial information is properly supported.
Review and implement work procedures within the department.
Prepare and analyze financial data and internal reports; monitor progress and changes.
Be responsible for managing operational data and ensuring data integrity and accuracy.
Manage vendor's payment cycles.
Undertake ad-hoc financial tasks.
Requirements:
What you have:
At least 3+ years of experience as a controller in a global high-tech company.
Past experience at one of the big 4 accounting firms, in the high-tech department.
Strong knowledge and experience in US-GAAP.
NetSuite ERP Experience and strong excel skills.
Proactive, excellent analytical and problem-solving skills, with a keen eye for detail.
Tax accounting and compliance expert.
Experience with month-end/year-end close process.
Highest standards of accuracy and precision; highly organized, detail-oriented and mindful of deadlines.
Ability to work under pressure with extensive working hours, in a fast-paced and changing environment.

Fluent in English - reading, writing, and speaking
Bonus Points:
Recommended by our employee.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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8605590
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
חברה חסויה
Location: Herzliya
Job Type: Full Time
We are looking for a Senior Controller to join our Corporate Accounting team. As a key function in our team, the Controller is responsible for both financial reporting and finance operations. The Senior Controller is overseeing the financial statements, serving as an accounting focal point for the FP&A team, building cross-organizational processes, executing of a comprehensive set of SOX controls designed to mitigate risk, enhance the accuracy of the companys reported financial results and ensure that reported results comply with the international financial reporting standards and SEC reporting requirements.
The Controller will report directly to the Director of Corporate Finance.
Your key responsibilities will include:
Leading a monthly, quarterly and annual closing process to ensure accuracy of financial records including AP, accruals, billing team, revenue recognition, payroll journal entries, fixed assets, intangible assets and intercompany reconciliation.
Prepare and review key matters in the consolidated financial statements and related disclosures for SEC filings, including 6-K and 20F reports.
Work with subsidiaries teams, provide support and guidelines to the local finance teams.
Coordinate with external auditors during the annual audit and quarterly reviews.
Develop and maintain internal controls over financial reporting to ensure compliance with Sarbanes-Oxley (SOX) requirements Including accounting memorandums and documentation of companys processes and policies.
Assist with tax matters, transfer pricing studies and annual tax filings.
Ad-hoc accounting and finance-related projects as needed, including system implementations and process improvements.
Requirements:
What Makes You a Great Fit:
Degree in Accounting and CPA license.
Experience from big 4 - preferred experience from public company or Hi-tech/Fin-tech companies.
~3-4 years of accounting experience after internship from Big 4.
Monthly, quarterly and annual closing experience in a public company is a big plus.
Netsuite experience - must.
Knowledge of IFRS.
Analytical, dedicated, high motivated.
Finance operations skills.
Excellent English skills.
Team player with strong communication and interpersonal skills.
Behavioral Competencies
Strive for Results- Takes ownership on achieving results. working on multiple projects by demonstrating excellent time management skills and task prioritization. Demonstrating high motivation and excitement about financial products.
Focus on Customer- Excellent communication and interpersonal skills, working with different management levels and different company department
Embrace Change- Ability to work in a fast-paced environment
Act with Integrity- Demonstrating high ethical standards and needed confidently while working with sensitive financial data.
Learn & Develop - Constantly improve analytical skills and knowledge in needed tools.
Work as a Team- Develops and maintains effective cross-functional working relationships and partnerships.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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עדכון קורות החיים לפני שליחה
8587361
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חברה חסויה
Location: Herzliya
Job Type: Full Time and Hybrid work
a global company that develops real-time, big data databases, is looking for a Controller.
You will be part of the Finance team and support the overall financial accounting, including financial reporting.
If you are ready for the challenge and become a part of a growing startup with a great product and talented people, Join us!
WHAT YOULL DO :
Lead the monthly financial close process, ensuring compliance with US GAAP, including reviewing and completing monthly account reconciliations and journal entries, flux analyses, and other corporate requirements.
Oversee day-to-day financial operations, working closely with the local staff on payroll and AP processes.
Manage local cash operations, including cash management, subsidiary funding, and cash reporting.
Manage the audit process, working closely with external auditors to ensure accurate, industry-standard financial reporting.
Take ownership of statutory tax returns for Israel, US and Poland, ensuring accuracy and compliance.
Provide support for transfer pricing processes.
Lead efforts to improve, develop, and document accounting policies, procedures, and internal controls.
Streamline and automate processes to meet and exceed close and audit deadlines
Contribute to ad hoc accounting projects as needed, including the implementation of financial management systems.
Requirements:
Bachelors Degree in Accounting, Finance, or a related field from an accredited institution.
Certification: CPA qualification; Big 4 alumni
Experience: At least 4 years of experience as a Controller, in Hi tech or startup (must).
Strong understanding of financial statement preparation.
Advanced Excel skills, with the ability to handle complex data analysis.
Knowledge of NetSuite is a Big Plus.
Startup Mindset: Proven ability to thrive in a fast-paced, rapidly changing environment, balancing multiple tasks and priorities.
Highly detail-oriented with a commitment to accuracy.
Effective communicator with excellent English/Hebrew verbal and written skills.
Collaborative team player, ready to thrive in a fast-paced environment.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Herzliya
Job Type: Full Time
We are looking for a Director of Credit Solutions to join our team and lead the development and execution of credit-based capabilities across our platform, with an initial focus on our Early Payment offering.
This is a unique opportunity to take ownership of a strategic domain and play a key role in expanding and scaling financial solutions within ecosystem.
You will work closely with Product, Finance, Operations, and external partners to enhance and scale these offerings. This role is ideal for a senior product or program leader with strong business orientation, who is excited to drive high-impact initiatives end-to-end and deliver meaningful business outcomes.
Responsibilities:
Lead the end-to-end development and scaling of Early Payment offering
Define the product strategy, business model, and execution approach for credit solutions
Work cross-functionally with Product, Finance, Legal, Operations, and Partnerships to ensure successful implementation
Translate business needs into scalable product and operational solutions
Drive alignment across multiple stakeholders and ensure timely execution of complex initiatives
Partner closely with the Product team to build and manage the roadmap for credit solutions, identifying opportunities for expansion and growth
Collaborate with internal and external partners to support product rollout and ongoing operations
Own the ongoing operation and performance of credit solutions, including monitoring KPIs and driving continuous improvements
Work closely with the CFO on underwriting approaches, financial considerations, and general risk assessments related to credit solutions
Requirements:
8+ years of experience in product management, program management, or strategic roles in fintech, payments, or financial services
Proven experience leading complex cross-functional initiatives from concept through execution and scaling
Strong business mindset, with the ability to connect product decisions to commercial outcomes
Background in fintech, payments, or B2B financial platforms - required
Demonstrated ability to drive execution across multiple stakeholders and functions
Excellent communication and stakeholder management skills
Highly organized, detail-oriented, and execution-focused
Nice to have
Experience working on credit, lending, or financial structuring products - a strong advantage
Experience working with external partners such as financial institutions or service providers
Familiarity with scaling products in a high-growth environment
Experience managing complex, high-impact projects in top-tier consulting firms - an advantage
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
07/04/2026
Location: Herzliya
Job Type: Full Time
We are looking for an Assistant Controller to support the financial operations of a group of EMEA-APAC subsidiaries and ensure accurate, timely reporting to our publicly traded parent company.
This role is hands-on, detail focused, and requires strong technical accounting skills, the ability to manage complex multi entity financial processes, and a proactive approach to problem solving.
This is a Hybrid position based in Herzliya, IL.
WHAT YOU'LL DO:
Support month end, quarter end and year end closing processes for multiple subsidiaries - including journal entries, accruals and balance sheet reconciliations.
Review subsidiary books for accuracy and completeness.
Prepare flux analyses, consolidation support schedules and monthly reporting packages.
Manage intercompany activity, cross border allocations and reconciliations
Establish SOX controls and prepare documentation to ensure alignment with corporate requirements and compliance.
Support US GAAP audit, working directly with external auditors and providing required schedules and tie outs.
Manage local statutory audits, coordinating with local accounting firms, preparing statutory audit packages and ensuring timely filing in each jurisdiction.
Mentoring and guidance to other team members.
Requirements:
CPA
2+ years experience in finance
Strong knowledge of US GAAP and IFRS
Familiarity with SOX controls
Strong Excel skills and experience working with ERP systems
High attention to details, strong ownership mindset and a willingness to dive into the details
Excellent communication skills, both written and verbal, in English and Hebrew
A collaborative team player
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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עדכון קורות החיים לפני שליחה
8602280
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
06/04/2026
Location: Herzliya
Job Type: Full Time
We are looking for a Product Financial Analyst to join our Finance team and support product‑related processes. In this role, you will focus on product costing, financial modeling, and data‑driven insights that improve decision‑making across Finance, Product and Purchasing.

You will be responsible for maintaining accurate financial data, building and updating cost models, assisting with pricing frameworks, and performing structured analysis that helps stakeholders understand product profitability and cost drivers. You will be fully responsible for setting and maintaining processes and periodic routines related to price and cost validations.

This position is hands‑on, detail‑oriented, and ideal for someone who enjoys analytical work, cross‑team collaboration, and improving financial processes.


Own and develop product cost models, including COGS structure, cost drivers, and margin analysis across products and offerings.
Partner with Product, R&D, Operations, and Procurement to ensure accurate and scalable costing frameworks throughout the product lifecycle.
Provide insights to support pricing and packaging decisions, including new product launches, pricing updates, and vendor updates.
Prepare clear, decision‑oriented analyses and presentations.
Drive continuous improvement of financial models, processes, and data flows related to product finance.
Requirements:
Bachelors degree in Finance, Economics, Accounting, Industrial Engineering or a related field.
3+ years of experience in Financial Analysis, Product/Procurement analysis, or similar roles (advantage: tech/software or manufacturing environment).
Experience in costing and margin analysis.
Advanced Excel skills; Proficiency with BI tools; AI‑driven mindset - ability to leverage automation, predictive models, or advanced analytics is a strong plus.
Ability to work cross‑functionally, build processes and translate complex financial data into clear business insights.
Strong analytical thinking, attention to detail, and ownership mindset.
Excellent communication skills in English.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8601850
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
06/04/2026
חברה חסויה
Location: Herzliya
Job Type: Full Time
We are defined by our dedication to doing good and this translates to business success, meaningful work friendships, a can-do attitude, and deep curiosity.

Lead revenue management processes, including revenue forecasting by monitoring pipeline conversion and backlog analysis
Develop and track key recurring revenue metrics (ARR), providing insights to optimize revenue quality, retention, and expansion
Own and drive regional financial performance, leading budgeting, forecasting, P&L analysis, and ongoing business monitoring.
Act as a trusted advisor to regional management, providing actionable insights and quarterly business reviews (QBR).
Adopt and implement AI tools within finance processes, improving efficiency and decision-making capabilities.
Partner with cross-functional teams-including Project Management, CSM and Operation - to build and execute strategic plans and monitor KPIs
Requirements:
Educational Background: BA in Economics or a related field.
Experience: At least 5 years in FP&A, financial analysis, or business finance, preferably within a global organization.
Exceptional analytical skills and expertise in Excel (Mandatory).
Ability to manage multiple tasks within tight deadlines.
Excellent interpersonal skills, with an independent, proactive work style.
Familiarity with business intelligence and financial technology systems (Advantage).
Mindset: A relentless curiosity and eagerness to learn.
Language: Fluent English is a must.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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8601845
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
23/03/2026
חברה חסויה
Location: Herzliya
Job Type: Full Time
we are seeking a highly skilled and motivated Treasury Manager to join our global Treasury organization. This role will take ownership of cash flow forecasting and liquidity management, support corporate finance strategy, and help strengthen our global financial infrastructure. The ideal candidate brings strong analytical capabilities, handson execution experience, and the ability to partner with senior leadership (Finance, FP&A, Accounting, Tax, and Operations). Key Responsibilities Corporate Finance & Capital Structure Lead strategic financing initiatives Assist in preparing materials for stakeholders Perform capital structure benchmarking and liquidity scenario modelling Cash Flow Management & Liquidity Improve forecasting processes, tools, and data integrity ( Oracle Fusion, Power BI ) Support weekly and monthly global cash flow forecasting, consolidating inputs from subsidiaries worldwide CrossFunctional Collaboration Partner with FP&A, Accounting, Tax, Procurement, and Operations to ensure accurate liquidity planning Provide treasury insights for business cases, capex planning, and strategic projects Prepare executiveready presentations for SLT and Board meetings GAAP
Country:
Israel
City:
Herzliya
Requirements:
Qualifications 10-12 years of relevant experience in Treasury, Corporate Finance Strong expertise in cash flow forecasting, liquidity planning, and treasury operations Solid understanding of corporate finance principles Advanced Excel skills; experience with ERP systems ( Oracle Fusion preferred) Strong analytical mindset and attention to detail Excellent communication skills-ability to present complex topics clearly. Experience in a multinational company Knowledge of FX hedging, derivatives, and risk management frameworks Power BI / automation exposure / AI Familiarity with US
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8588726
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