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לפני 1 שעות
Location: Tel Aviv-Yafo
Job Type: Full Time and Temporary
We are looking for a Customer Experience Accounting Specialist that will support clients in navigating our financial and accounting features, ensuring accurate configurations, smooth workflows, and a strong understanding of system logic.

"This role is a hybrid position based in our Tel Aviv office. Please note that this is initially a 9-month temporary position, with the possibility of converting to a permanent role".

Responsibilities
Manage client support tickets related to financial features, including dashboards, reports, and workflows.
Assist with setup and troubleshooting of configurations (business models, revenue allocation, owner statements, payouts, trust accounting).
Explain how financial transactions and business rules operate within the system.
Analyze dashboards and reports to identify discrepancies, configuration issues, or data inconsistencies.
Guide clients through reconciliation processes, deposits, balance tracking, and period closing.
Support issues related to locked accounting periods and historical data accuracy.
Act as a trusted advisor by educating clients on financial features, system logic, and best practices.
Collaborate with Product, Engineering, CX, and Finance teams to resolve complex issues.
Stay up to date on product features and financial functionality.
Contribute to internal documentation and knowledge base.
Requirements:
Requirements
Native or near-native English (additional languages are an advantage).
Tech-savvy - strong computer skills.
Solid understanding of accounting fundamentals (e.g., double-entry bookkeeping, revenue recognition, reconciliations).
Strong analytical thinking and attention to detail.
Excellent written and verbal communication skills.
Experience in a client-facing support role (ticket/case management).
Experience working with financial reports, dashboards, and configurations.
Proven ability to investigate discrepancies and resolve financial/system issues.
Ability to multitask in a fast-paced environment.
Experience in hospitality, property management, or PMS - advantage.
Experience working with Product teams - advantage.

Experience & Education
1+ years of experience in accounting, financial operations, financial systems, or SaaS support - required.
Bachelors degree in Accounting, Economics, Business Administration, or equivalent.
Strong proficiency in Excel/Google Sheets and familiarity with Docs and Slides.
Technical/analytical experience (e.g., audit logs, data analysis).
Experience with Zendesk/Jira or similar ticketing systems - advantage.
This position is open to all candidates.
 
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לפני 1 שעות
חברה חסויה
Location: Jerusalem and Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
We are looking for an Assistant Controller to join their Finance team. This role is focused on core accounting operations, financial data integrity, and supporting the companys reporting and closing processes.
This is a unique opportunity to build a strong foundation in accounting within the venture capital and alternative investments space. Its a hands-on role for someone early in their career, offering exposure to core accounting processes alongside financial systems, data flows, and cross-functional collaboration in a fast-paced, high-accountability environment.
This is a hybrid position; three days in office. Our main office is in Jerusalem, with a second office in Tel Aviv.
Responsibilities:
Accounting Operations & Close Processes
* Support day-to-day accounting activities, including journal entries, account analysis, and reconciliations
* Assist in monthly, quarterly, and annual closing processes
* Perform bank, balance sheet, and intercompany reconciliations, and investigate discrepancies Financial data & Reporting
* Maintain accurate financial data across ERP systems and internal databases
* Support the preparation of financial reports and internal management reporting
* Track and record investment-related transactions and cash flows Cross-Functional Collaboration
* Work closely with Finance, Operations, and Tech teams to ensure data consistency and integrity
* Maintain proper documentation and audit trails across financial processes
* Support external audits and provide required documentation Process Improvement & Systems
* Identify gaps, inefficiencies, and opportunities to improve accounting processes
* Support automation and optimization initiatives over time
* Build a strong understanding of how financial processes translate into system workflows
Interview Process:
 
* Phone interview
* Take-home task
* In-person interview with VP of Finance (Controller may join this meeting or the following one)
* In-person interview with CFO
* In-person interview with Director of HR
* Reference checks
Requirements:
* Certified Public Accountant (CPA / רו"ח) certification required
* 2+ years of relevant experience (internship experience acceptable) from a Big 4 firm - Deloitte, PwC, EY, or KPMG
* Bachelors degree in Accounting, Finance, Business or a related field
* Excellent English communication skills
* Experience in investment firms (VC, PE, hedge funds) or similar financial environments - preferred
* High attention to detail and commitment to data accuracy; Ability to manage large volumes of data in a structured and reliable manner
* Comfort handling repetitive tasks while maintaining focus and quality
* Strong Excel skills (formulas, filtering, lookups, data validation)
* Analytical mindset with the ability to think logically about data and processes
* Proactive and curious, comfortable asking questions and investigating issues
* Ability to work independently while collaborating across teams
Advantage
* Hands-on use of AI and automation to streamline financial processes, reporting, or analysis - strong advantage
* Familiarity with ERP systems
* Exposure to automation tools (Excel macros, SQL, BI tools, AI-based tools)
* Interest in financial systems and data workflows
This position is open to all candidates.
 
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לפני 1 שעות
חברה חסויה
Location: Jerusalem and Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
We are looking for an Assistant Controller to join their Finance team. This role is focused on core accounting operations, financial data integrity, and supporting the companys reporting and closing processes.
This is a unique opportunity to build a strong foundation in accounting within the venture capital and alternative investments space. Its a hands-on role for someone early in their career, offering exposure to core accounting processes alongside financial systems, data flows, and cross-functional collaboration in a fast-paced, high-accountability environment.
This is a hybrid position; three days in office. Our main office is in Jerusalem, with a second office in Tel Aviv.
Responsibilities:
Accounting Operations & Close Processes
* Support day-to-day accounting activities, including journal entries, account analysis, and reconciliations
* Assist in monthly, quarterly, and annual closing processes
* Perform bank, balance sheet, and intercompany reconciliations, and investigate discrepancies Financial data & Reporting
* Maintain accurate financial data across ERP systems and internal databases
* Support the preparation of financial reports and internal management reporting
* Track and record investment-related transactions and cash flows Cross-Functional Collaboration
* Work closely with Finance, Operations, and Tech teams to ensure data consistency and integrity
* Maintain proper documentation and audit trails across financial processes
* Support external audits and provide required documentation Process Improvement & Systems
* Identify gaps, inefficiencies, and opportunities to improve accounting processes
* Support automation and optimization initiatives over time
* Build a strong understanding of how financial processes translate into system workflows.


Interview Process:
* Phone interview
* Take-home task
* In-person interview with VP of Finance (Controller may join this meeting or the following one)
* In-person interview with CFO
* In-person interview with Director of HR
* Reference checks
Requirements:
* Certified Public Accountant (CPA / רו"ח) certification required
* 2+ years of relevant experience (internship experience acceptable) from a Big 4 firm - Deloitte, PwC, EY, or KPMG
* Bachelors degree in Accounting, Finance, Business or a related field
* Excellent English communication skills
* Experience in investment firms (VC, PE, hedge funds) or similar financial environments - preferred
* High attention to detail and commitment to data accuracy; Ability to manage large volumes of data in a structured and reliable manner
* Comfort handling repetitive tasks while maintaining focus and quality
* Strong Excel skills (formulas, filtering, lookups, data validation)
* Analytical mindset with the ability to think logically about data and processes
* Proactive and curious, comfortable asking questions and investigating issues
* Ability to work independently while collaborating across teams
Advantage
* Hands-on use of AI and automation to streamline financial processes, reporting, or analysis - strong advantage
* Familiarity with ERP systems
* Exposure to automation tools (Excel macros, SQL, BI tools, AI-based tools)
* Interest in financial systems and data workflows
This position is open to all candidates.
 
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05/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Were seeking an Assistant Controller
to support the finance and accounting organization. Youll play a key role in strengthening financial operations, reporting, and compliance as we scale our business globally. This position partners closely with Leadership, FP&A, Accounting, and cross-functional teams to ensure accuracy, governance, and strategic financial insights.
What Youll Do?
Financial Reporting & Close
Lead and execute the monthly, quarterly, and annual close processes
Prepare and review journal entries, reconciliations, and supporting schedules
Ensure timely and accurate financial reporting in accordance with US GAAP
Assist in preparation of consolidated financial statements
Support flux analysis and management reporting
Technical Accounting
Research and document accounting treatment for complex transactions
Support revenue recognition (ASC 606), commissions (ASC 340), leases (ASC 842), and equity accounting
Maintain accounting policies and procedures documentation
Assist with implementation of new accounting standards
Audit & Compliance
Manage audit requests and coordinate with external auditors
Support annual financial statement audit and tax filings
Ensure SOX readiness / internal controls documentation (if applicable)
Strengthen and monitor internal control framework
Operational Accounting
Oversee GL integrity and chart of accounts structure
Support AP, AR, payroll, and fixed asset accounting processes
Partner cross-functionally with FP&A, Legal, HR, and RevOps
Assist with system implementations and process automation initiatives
Systems & Process Improvement
Drive continuous improvement in accounting workflows
Support ERP implementation or optimization
Improve reporting tools and automation to scale with growth
Requirements:
Bachelors degree in Accounting, Finance, Business Administration, or related field.
CPA with Big 4 background and experience in the SaaS industry.
Solid understanding of GAAP and experience with financial statement preparation.
Experience with internal controls and regulatory compliance.
Experience with NetSuite ERP system.
Experience and extensive knowledge of revenue recognition under US GAAP (ASC 606).
Wide understanding of financial business processes and ability to translate requirements to technical design.
Excellent analytic skills, with strong technical and project management skills.
Full professional proficiency in both English and Hebrew.
Ability to work in a fast-paced global company, meet tight deadlines, and handle multiple priorities.
Working in a public trading company - Advantage.
Personal Attributes:
Detail-oriented and highly organized with a commitment to accuracy.
Strong communicator who can present financial information clearly.
Resourceful problem solver who thrives in a fast-paced, collaborative environment.
High integrity and commitment to confidentiality.
This position is open to all candidates.
 
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לפני 1 שעות
Location: Jerusalem and Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
We are seeking a detail-oriented and driven Junior data Entry & Operations Associate to join the Finance team. This is an entry-level, operations-focused role supporting the accuracy, integrity, and flow of financial data across internal systems.
The role is hands-on and execution-heavy, centered around maintaining high-quality financial data and supporting recurring workflows. At the same time, it is not a pure data -entry position. We are looking for someone with curiosity, ownership, and a problem-solving mindset. Someone who can investigate data issues, understand basic process logic, and help identify opportunities to reduce manual work. Cross functional collaboration is key.
This is a unique opportunity to build a foundation in finance operations and data within the venture capital and alternative investments space. This role is designed for growth. High-performing candidates will have the opportunity to deepen their expertise in data validation, process improvement, automation, and financial systems, taking on increasing ownership over time.
This is a hybrid position; three days in office. Our main office is in Jerusalem, with a second office in Tel Aviv.
Responsibilities:
data Operations & Maintenance
* Maintain and manage financial data across salesforce, ERP systems, and internal databases
* Perform accurate and timely data entry related to transactions, accounts, fund activity, K1s, exits, and investment records
* Ensure data completeness, consistency, and reliability across systems data Accuracy & Investigation
* Reconcile discrepancies and investigate missing or inconsistent data
* Trace data across systems, documents, and workflows to identify root causes of issues
* Take ownership of data quality by validating updates before and after execution Cross-Functional Collaboration
* Work closely with Finance, Operations, and Tech teams to ensure smooth data flow and clear handoffs
* Support system updates, data clean-ups, and ongoing maintenance efforts
* Assist in reporting processes by ensuring underlying data is accurate and up to date Process Awareness & Improvement
* Identify recurring manual work, unclear logic, and workflow gaps
* Surface issues and suggest opportunities for process improvement over time
 
Interview Process:
* Phone interview
* Take-home task
* In-person interview with VP of Finance (Controller may join this meeting or the following one)
* In-person interview with CFO
* In-person interview with Director of HR
* Reference checks
Requirements:
* 1+ years of experience in data entry, finance operations, or back-office roles
* Bachelors degree in Accounting, Finance, Business or a related field preferred
* Strong attention to detail and commitment to data accuracy
* Ability to manage large volumes of data in a structured and reliable way
* Excellent English communication skills
* Comfort with repetitive tasks while maintaining focus and quality
* Strong Excel skills (formulas, filtering, lookups, data validation)
* Analytical mindset with the ability to think logically about data and processes
* Proactive and curious, comfortable asking questions and investigating issues
* Ability to work independently while collaborating across teams
Advantage
* Experience using AI and automation to streamline financial processes, reporting, or analysis - strong advantage
* Familiarity with salesforce, ERP, or accounting systems
* Exposure to SQL, automation tools, or data workflows
* Familiarity with fund structures, K1s, capital calls, or distributions
What Success Looks Like
* Finance data workflows are executed accurately and on time with minimal oversight
*  data issues are proactively identified, investigated, and clearly explained
 
This position is open to all candidates.
 
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15/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a hands-on and strategic Director of Finance to lead our global finance operations across multiple regions and support the companys continued growth.

This role combines strong accounting leadership, operational excellence, and strategic partnership with senior stakeholders, ensuring accurate reporting, compliance, scalable processes, and sound financial management in a dynamic, global environment.

Director of Finance - Key Responsibilities:
Oversee global accounting and finance operations, including tax and treasury activities, across the US, UK, and Israel, with a strong focus on mentoring, developing, and growing finance talent and while leading organizational and structural initiatives to support departmental and company objectives.
Lead the global monthly, quarterly, and annual close processes, ensuring timely and accurate financial reporting to management and investors.
Ensure full compliance with applicable financial regulations, accounting standards, and tax requirements across the US, UK, Israel, and Canada.
Implement, optimize, and scale financial systems, tools, and processes to improve efficiency, accuracy, and transparency across all finance operations.
Partner closely with cross-functional teams, including FP&A, Legal, Operations, HR and R&D, to deliver financial insights, support strategic decision-making, and enable day-to-day business activities.
Establish and maintain strong working relationships with external auditors, banks, financial institutions, and other key stakeholders.
Drive continuous process improvement initiatives to enhance the effectiveness, scalability, and robustness of financial operations.
Manage global treasury operations, including cash positioning and forecasting, bank account setup and maintenance, hedging activities, and investment strategies.
Develop and execute tax planning strategies to optimize the companys global tax position, manage tax-related risks, and support transfer pricing and intercompany arrangements.
Requirements:
10+ years of professional experience, including significant leadership or management roles.
Qualified CPA with Big 4 firm experience.
Proven experience in the tech industry, working in a high-growth state of mind.
Strong understanding of US GAAP.
Experience with working with auditors and consultants.
Exceptional business partnering skills, with demonstrated ability to work cross-functionally and at various levels within a company.
Proactive and organized, detail-oriented, self-driven, and highly motivated to contribute to the success of the company.
Can do approach is a must.
Bachelor's degree in accounting.
Excellent English - both written and verbal.
Advanced skills in Microsoft Excel.
Experience in working with NetSuite - Advantage.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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01/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Were looking for a motivated Assistant Controller with Big Four experience who thrives in a fast-paced startup environment. In this role, youll take ownership of key financial processes, collaborate closely with teams across the company, and play a pivotal part in driving our growth as we scale and innovate.
Financial Reporting: Prepare and analyze monthly, quarterly, and annual financial statements in compliance with applicable accounting standards.
Audit Coordination: Work closely with external auditors, ensure timely submission of required documentation, and respond to audit inquiries.
Accounts Payable & Receivable Support: Assist with procure-to-pay and order-to-cash processes, including oversight of corporate credit card operations.
Financial Systems & Reporting: Leverage NetSuite and BI tools to generate financial insights and enhance reporting efficiency.
Compliance & Regulatory Reporting: Ensure compliance with tax regulations (including Israeli and U.S. tax filings, sales tax, and VAT reporting), corporate laws, and financial disclosure requirements.
Process Improvement: Identify operational inefficiencies and lead initiatives to improve accuracy, controls, and overall financial processes.
Business Partnership: Serve as a finance partner to cross-functional teams, including R&D, Sales & Marketing, and corporate functions, contributing to cross-departmental projects and process improvement initiatives.
Ad Hoc Projects: Provide support for special accounting and finance-related projects as required.
Requirements:
About You
Detail-Oriented & Accurate - You take pride in preparing and analyzing financial statements, reconciliations, and reports with precision, ensuring compliance with accounting standards.
Process-Minded & Organized - You identify operational inefficiencies, follow established procedures, and help improve workflows in accounts payable, accounts receivable, and other finance processes.
Collaborative & Supportive - You work effectively with cross-functional teams, including R&D, Sales & Marketing, and corporate functions, providing timely financial insights and assisting with audits or ad hoc projects.
Proactive & Responsible - You take ownership of assigned tasks, manage deadlines consistently, and communicate clearly with colleagues, auditors, and external partners.
Adaptable & Solution-Focused - You thrive in a dynamic environment, adjust to changing priorities, and support continuous improvement initiatives across financial operations.
Tech-Savvy & Curious - Youre comfortable exploring new technologies, learning quickly, and applying them to your daily work. You embrace tools and systems that can improve processes, help make sense of data, and support smarter, more efficient decision-making.
Experience & Skills:
Certified Public Accountant (CPA) qualification.
Big 4 background with 2-4 years of experience.
Strong knowledge of accounting principles and practices.
Experience working with global high-tech companies.
Advanced proficiency in Excel, Microsoft Office, and AI tools is a must; experience with NetSuite, BI, and Mesh is an advantage.
Excellent written and verbal communication skills in English.
Strong sense of ownership and accountability, with pride in delivering high-quality results.
High level of accuracy and attention to detail; well-organized and deadline-driven.
Ability to perform effectively in a fast-paced, dynamic environment under pressure.
This position is open to all candidates.
 
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13/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Required Corporate Controller
Tel Aviv, Israel Full-time
About The Position
A corporate controller is a senior financial executive who oversees a company's financial operations, reporting, and compliance.
Responsibility for ensuring the accuracy and integrity of financial data, managing financial risks, and supporting the company's strategic goals.
The Corporate Controller will report directly to the CFO and will lead the global accounting function.
The successful candidate will be able to adapt to a high-growth organization to drive operational execution.
We are a privately held, global high-growth company.
Responsibilities
Heres what youll be working on:
Manage and support accounting team with dynamic leadership that creates an environment of accuracy and productivity. Provide leadership and guidance to the team, including coaching and development.
Develop and implement consistent accounting policies, practices, and procedures to ensure compliance with internal controls and external regulations and standards .
Responsible of Consolidated & Solo financial statements.
Maximize payroll efficiency through innovative process development.
Monthly/Quarterly Close: Ensure the timely and accurate preparation of account reconciliations, analysis, and presentation of the monthly consolidated financial close.
Audit: Manage the day-to-day audit process including the preparation of support, Financial Statements, and interactions with the external audit firm.
Financial Management: Work closely with FP&A to manage the financial results of the business. Provide oversight and support for the management of department-level operating expenses.
Manage our global tax reporting and compliance.
Requirements:
Certified accountant (CPA) - must.
5+ years of experience as a controller in a global company - must.
Experience in manufacturing / e-commerce company - advantage
Strong knowledge of US GAAP and other accounting and financial regulations.
Experience in managing accounting & payroll teams - must.
Experience with off- shore subsidiaries - must
Experience from a Big4 firm - advantage
English - at a high level - must!
Advantages
What else were looking for:
Strong leadership and people management skills.
Skilled in time management and the ability to prioritize tasks while meeting deadlines.
Accurate, detail oriented and organized.
Ability to work in a dynamic environment.
Excellent analytical and problem-solving skills.
Excellent communication and interpersonal skills.
Strong computer skills, including proficiency with accounting software and MS Office.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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05/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: More than one
We are looking for a Financial Controller to join our Finance Department in Tel Aviv. In this role, you'll join our growing Finance Department, supporting
global finance activities. We're looking for a team player eager to grow and
take on new challenges in a publicly traded, NASDAQ-listed tech company.
What You'll Do:
Guiding financial decisions by establishing, monitoring, and enforcing
policies, procedures and timelines.
Take ownership of the revenue/cost accounting area, including end-to-end
processes and controls and review of key activities and outputs.
Monitoring and confirming financial position by conducting audit, while
interfacing with audit firms (local and foreign).
Analyze financial data, draw insights, and provide recommendations to
support business decisions.
Lead and improve financial processes, automation, and internal controls.
Lead and support the accounting treatment of complex revenue
transactions in accordance with applicable accounting standards.
Perform detailed monthly analyses and provide insights to senior
management.
Ensure accurate and timely revenue recognition and reporting.
Collaborate closely with cross-functional teams (Sales, Legal, Operations) to
understand deal structures and accounting implications.
Identify opportunities to improve processes and enhance internal controls.
Requirements:
BA degree in accounting and public CPA certification- must.
Internship in one of the Big 4 accounting firms.
2-4 years of experience as a Controller or Assistant Controller, preferably in
a publicly traded high-tech company.
Strong analytical skills with the ability to interpret financial data and provide
actionable insights.
Hands-on experience with revenue recognition (Consolidation) processes.
Excellent interpersonal skills and ability to work effectively with people at all
levels of an organization.
Self-starter and independent, with multi-tasking and great time management skills.
Versatile and flexible, with ability to thrive in a dynamic, fast-paced working
environment.
Advanced Excel skills (experience with NetSuite - an advantage).
High level of 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
8600948
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דיווח על תוכן לא הולם או מפלה
מה השם שלך?
תיאור
שליחה
סגור
v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
7 ימים
Location: Tel Aviv-Yafo
Job Type: Full Time
An empty job that is used for creating one of the worlds leading Professional Services firms, we provide audit and business advisory services to leading companies across the market. Our growth is driven by delivering meaningful results to our clients, while our people and culture are at the core of what makes KPMG a great place to work. We are currently seeking a Consultant to join the Financial Derivatives team within the Financial Advisory Services Department.+ The team provides economic and valuation advisory services related to derivatives and complex financial instruments, including:
* OTC derivatives and structured products
* Valuation of options and equity instruments
* Valuation of various financial instruments and derivatives, including a wide range of debt instruments and complex equitylinked instruments, using advanced valuation models such as the Merton model, binomial models, Monte Carlo simulations, and other methodologies
* Performing synthetic credit ratings for public and private companies for the purpose of debt instrument valuation
* Valuation of financial instruments within complex capital structures using methodologies such as OPM, PWERM, and additional approaches
* All engagements are conducted in accordance with accepted valuation methodologies and in compliance with relevant accounting standards (IFRS and US GAAP). Responsibilities The role includes:
* Gaining a strong understanding of all areas of the teams activities, including accepted valuation methodologies, relevant accounting standards, and prevailing market practices
* Building, maintaining, and analyzing complex financial models in Excel, often in data and assumptionintensive environments
* Working closely with internal teams and external advisory clients
* Preparing economic opinions and professional reports in both Hebrew and English
* Taking part in the development and implementation of process improvements, including the use of AI solutions and advanced analytical tools
* Ongoing work with leading financial information systems, such as LSEG and additional database

תת מחלקה:
נגזרים פיננסים
Requirements:
* Bachelors degree in Economics, Accounting, Business Administration, or Mathematics - mandatory
* 1-2 years of experience in relevant fields, such as financial derivatives valuation, options pricing, financial advisory, or a related discipline
* Highlevel proficiency in Excel and the ability to work with and understand complex financial models
* Strong financial understanding, analytical thinking, and attention to detail
* High level of independence alongside strong teamwork skills, stakeholder management, and ability to meet deadlines
* Excellent verbal and written communication skills in both Hebrew and English
* Masters degree specializing in Finance, Statistics, Engineering, Financial Mathematics, or Financial Risk Management - a significant advantage The position is open to all candidates. We support diversity and inclusion and view them as a source of strength, growth, and continuous learning. We are committed to empowering women and men alike
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8628528
סגור
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סגור
דיווח על תוכן לא הולם או מפלה
מה השם שלך?
תיאור
שליחה
סגור
v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
26/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for a highly skilled and leadership-oriented Corporate Controller to join our finance team. In this pivotal role, you will oversee the global financial operations, ensuring accuracy, compliance, and strategic excellence. As a Corporate Controller, you wont just be doing the books,you will be the orchestrator of our financial integrity, leading a talented team to reach high standards while fostering a collaborative and professional environment.
Key Responsibilities:
Financial Reporting & Consolidation: Lead the global month-end and year-end closing processes. Oversee the preparation of consolidated financial statements in accordance with US GAAP. Manage the relationship with external auditors and resolve complex accounting issues.
Treasury & Cash Management: Strategically manage global cash flow, oversee bank relationships, and ensure robust liquidity planning and reporting to support the companys growth.
Israeli Entity Management: Direct the financial operations of the Israeli parent company, including tax compliance (CIT, VAT), statutory reporting, and oversight of the AP and procurement cycles.
FP&A Collaboration & BVA: Partner closely with the FP&A team to perform monthly Budget vs. Actual (BVA) analysis. Provide insights into variances and support the companys forecasting and planning processes.
Revenue Recognition (ASC 606): Provide high-level oversight on revenue recognition processes. Analyze complex customer contracts and ensure seamless integration between sales operations and financial reporting across multiple information systems.
Team Leadership: Lead, mentor, and develop a high-performing finance team. You will be responsible for setting clear KPIs and ensuring targets are met through an assertive yet supportive leadership style, promoting professional growth within the team.
Process Optimization: Act as a focal point for cross-departmental projects, streamlining financial workflows and implementing advanced systems and AI toolst).
Requirements:
CPA with a Big 4 background - Must.
Experience: 5+ years of experience in senior finance roles (Controller / Senior Controller) within the Hi-Tech/SaaS industry - Must.
Note: We are looking for an experienced professional, this is not an entry-level/Assistant Controller position.
Language: Fluent English (written and verbal) - Must. Ability to lead professional discussions and prepare complex reports in English.
Managerial Experience: Proven track record of managing a professional finance team and reaching high-level goals.
Tech Orientation: Strong technological orientation with the ability to master and optimize financial information systems.
Systems (Significant Advantage): Proficiency or hands-on experience with:
ERP & revenues: NetSuite, Zuora.
Spend Management & Procurement: Zip, Mesh.
Project Management & CRM: Monday.com, Salesforce.
Personal Attributes: Detail-oriented, strategic thinker, and a proactive problem-solver.
Education: Bachelors degree in Accounting/Economics (MBA is a plus).
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8624433
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