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לפני 4 שעות
חברה חסויה
Location: Merkaz
Job Type: Full Time and Temporary
Required Treasury Lead
Temporary Position
Role Overview:
The Senior Assistant Treasurer plays a key role in managing and analyzing the Groups global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the companys cash flow and debt structure in a complex, multi-currency, global environment.
The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer.
Requirements:
Experience:
Global cash flow & liquidity management (cash forecasting) - (Must-have experience)
Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
Experience in global/multi-currency corporate environments
Experience working with cross-functional and international teams
Requirements
BA in Finance / Economics / Accounting (Must-have)
MBA in Finance / Economics / Accounting
5+ years of treasury experience in global, multi-currency companies - (Must-have)
Proven experience in cash flow and debt management - (Must-have)
Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
Fluency in English.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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8676481
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1 ימים
דרושים בSodaStream
Location: Kefar Sava
Job Type: Full Time
The Associate Treasury Analyst supports the companys treasury activities with a focus on cash flow management, FX and commodity exposure, hedging, and financial risk analysis. The role works closely with internal teams and financial institutions to support decision-making and risk management.
Prepare and manage cash flow forecasts

* Monitor and report FX and commodity exposures
* Support hedging activities and analyze impact on P L and cash flow
* Monitor cash balances, credit facilities, and banking activities
* Prepare treasury reports and management analyses
* Collaborate with Procurement, Operations, and Supply Chain on financial risk mitigation
* Support closing processes and treasury policy implementation
* Drive process improvements and automation initiatives
Requirements:
Bachelor's degree in economics / accounting / business administration / finance - required
2-4 years of experience in Treasury, Finance, or within an industrial/manufacturing environment - strong advantage
Familiarity with import, export, and supply chain activities - advantage
Solid understanding of FX markets, interest rates, and financial instruments (including commodities)
Advanced Excel skills - required (Power BI / SAP / Oracle - advantage)
High level of English proficiency - required
Strong analytical capabilities and business-oriented mindset
High attention to detail, strong organizational skills, and ability to work under pressure
This position is open to all candidates.
 
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הגשת מועמדות
עדכון קורות החיים לפני שליחה
8501026
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דיווח על תוכן לא הולם או מפלה
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
לפני 3 שעות
חברה חסויה
Location: Magal
Job Type: Full Time and Temporary
Required Treasury Lead
Temporary Position
Role Overview:
The Senior Assistant Treasurer plays a key role in managing and analyzing the Groups global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the companys cash flow and debt structure in a complex, multi-currency, global environment.
The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer.
Requirements:
Experience:
Global cash flow & liquidity management (cash forecasting) - (Must-have experience)
Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
Experience in global/multi-currency corporate environments
Experience working with cross-functional and international teams.
BA in Finance / Economics / Accounting (Must-have)
MBA in Finance / Economics / Accounting
5+ years of treasury experience in global, multi-currency companies - (Must-have)
Proven experience in cash flow and debt management - (Must-have)
Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
Fluency 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
8676571
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דיווח על תוכן לא הולם או מפלה
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סגור
v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
לפני 3 שעות
חברה חסויה
Location: Yiftah
Job Type: Full Time and Temporary
Required Treasury Lead
Temporary Position
Role Overview:
The Senior Assistant Treasurer plays a key role in managing and analyzing the Groups global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the companys cash flow and debt structure in a complex, multi-currency, global environment.
The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer.
Requirements:
Experience:
Global cash flow & liquidity management (cash forecasting) - (Must-have experience)
Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
Experience in global/multi-currency corporate environments
Experience working with cross-functional and international teams
BA in Finance / Economics / Accounting (Must-have)
MBA in Finance / Economics / Accounting
5+ years of treasury experience in global, multi-currency companies - (Must-have)
Proven experience in cash flow and debt management - (Must-have)
Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
Fluency 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
8676660
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דיווח על תוכן לא הולם או מפלה
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סגור
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
לפני 3 שעות
חברה חסויה
Location: Tel Aviv-Yafo and Magal
Job Type: Full Time and Temporary
Required Treasury Lead
Temporary Position
Role Overview:
The Senior Assistant Treasurer plays a key role in managing and analyzing the Groups global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the companys cash flow and debt structure in a complex, multi-currency, global environment.
The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer.
Requirements:
Experience:
Global cash flow & liquidity management (cash forecasting) - (Must-have experience)
Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
Experience in global/multi-currency corporate environments
Experience working with cross-functional and international teams
Requirements:
BA in Finance / Economics / Accounting (Must-have)
MBA in Finance / Economics / Accounting
5+ years of treasury experience in global, multi-currency companies - (Must-have)
Proven experience in cash flow and debt management - (Must-have)
Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
Fluency 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
8676619
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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 :)
לפני 4 שעות
חברה חסויה
Location: Hatzerim
Job Type: Full Time and Temporary
Required Treasury Lead
Temporary Position
Role Overview:
The Senior Assistant Treasurer plays a key role in managing and analyzing the Groups global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the companys cash flow and debt structure in a complex, multi-currency, global environment.
The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer.
Requirements:
Experience:
Global cash flow & liquidity management (cash forecasting) - (Must-have experience)
Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
Experience in global/multi-currency corporate environments
Experience working with cross-functional and international teams.
BA in Finance / Economics / Accounting (Must-have)
MBA in Finance / Economics / Accounting
5+ years of treasury experience in global, multi-currency companies - (Must-have)
Proven experience in cash flow and debt management - (Must-have)
Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
Fluency 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
8676439
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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 :)
חברה חסויה
Location: Ramat Gan
Job Type: Full Time
we are looking for a Head of Treasury.
As the Head of Treasury, you will be responsible for establishing and leading the companys foundational treasury function, with full oversight of cash management, liquidity planning, and foreign exchange activities. In this capacity, you will play a central role in building and advancing Traveliers treasury capabilities from the ground up, while ensuring the functions roadmap is strategically aligned with and actively supports the companys broader business objectives.
In this role you will:
Focus on operational excellence, developing and maintaining best-in-class treasury processes and controls, and leveraging automated solutions to support Travelier's growth.
Manage and oversee the company's group cash requirements, including daily liquidity, focusing on improvement opportunities and ensuring proper controls and procedures.
Build, own and manage treasury policies, procedures, systems, and controls for effective cash management, risk mitigation, and regulatory compliance.
Build and maintain strong relationships with banking partners and financial institutions, supporting worldwide banking system administration.
Establish foreign exchange risk policy and implement strategies to manage and mitigate FX exposures.
Produce accurate and timely treasury reports for senior stakholders, including presentations to executives and the Board of Directors.
Forecast and plan cash flow to ensure cash optimization and the availability of sufficient funds for ongoing operational and capital investment requirements.
Lead strategic initiatives and provide strategic advice and financial analysis to support decision-making across the company.
Support the maintenance of the companys global insurance portfolio.
Requirements:
Bachelors degree in Finance, Economics, or Accounting; MBA preferred.
Minimum 5 years of treasury experience in a global company with complex cash and FX activities. B2C experience an advantage
Strong analytical and problem-solving skills.
Proficient in MS Office programs, particularly Excel. proficient in Google Suite (Google sheet etc.) is a big advantage
Experience with banking operations, foreign exchange, and implementing technology-based Automated Treasury solutions.
Excellent communicational (both verbal and written) skills- both English and Hebrew.
Enjoy working in a fast-paced and autonomous environment
Demonstrate a strong sense of ownership and urgency; a problem-solver who takes initiative and is able to prioritize and execute tasks;
Strong knowledge of capital and currency markets, accounting, finance, and tax.
Experience with Treasury Management Systems and Netsuite is an advantage.
Experience in the payments industry is an advantage
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8627406
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דיווח על תוכן לא הולם או מפלה
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תיאור
שליחה
סגור
v נשלח
תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
13/05/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
our companys Finance team is looking for a highly motivated, detail-oriented, and experienced Senior Treasury Associate to join our global organization.
In this role, youll collaborate with international banks and asset managers overseeing our companys fixed income portfolio. Youll take ownership of global liquidity management Cash Flow and Banking relationships across the world. You will also manage Foreign Exchange hedging strategies, Share Repurchase activities, and corporate Insurance programs.
This position offers high exposure, including frequent interaction with senior management and global finance functions, while reporting directly to the Corporate Treasurer.
Youll be part of a fast-paced environment where accuracy, trust, and ownership are critical to success.
Key Responsibilities
Manage global cash and liquidity, monitoring 100+ bank accounts daily across subsidiaries
Create and maintain cash flow forecasts
Lead investment execution, interest income analysis, risk and strategy for a $4B portfolio
Identify FX exposures, conduct FX trading, manage global hedging, and perform hedge effectiveness testing
Support and analyse the companys share repurchase program
Manage global insurance programs and renewals, including broker negotiations
Lead implementation of new treasury systems and tools
Maintain up-to-date global bank account records and authorized signer details per regulatory standards
Support intercompany transactions and wire transfers
Create reports for internal tracking and external audit purposes
Lead projects and ensure timely delivery of outcomes
Ensure compliance with internal policies, controls, and SOX (Sarbanes-Oxley) requirements.
Requirements:
Bachelors degree in Economics, Finance, or Business Administration (MBA - advantage)
Minimum 4 years of experience in Treasury or financial analysis (preferably in a multinational company or bank)
Native English speaker
Strong analytical, organizational, and execution skills
Excellent communication skills - both verbal and written
Meticulous attention to detail and high integrity
Advanced skills in Microsoft Excel & PowerPoint, including data visualization
Strong knowledge and experience working with AI tools - advanced level
Proactive self-starter, able to work both independently and in a team
Willingness to work on Fridays
Preferred Qualifications
Experience in cash management and FX trading
Background in tech or multinational companies
Exposure to capital markets, portfolio management, and corporate treasury
Understanding of financial reporting standards and legal regulations
Experience with SAP or similar ERP platforms
Track record in leading AI initiatives with various AI models, to improve efficiencies, and enhance analysis.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8650170
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דיווח על תוכן לא הולם או מפלה
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סגור
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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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דיווח על תוכן לא הולם או מפלה
מה השם שלך?
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סגור
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
חברה חסויה
Location: Jerusalem
Job Type: Full Time
We are looking for a skilled and motivated Controller to join our rapidly growing Finance team. As we scale, we need a technical leader to own our global accounting operations, ensure "audit-ready" financial accuracy, and streamline our reporting processes.
The ideal candidate is a CPA with experience in high-growth tech environments, a deep understanding of IFRS, and a passion for building scalable financial systems from the ground up.
Key Responsibilities:
Financial Reporting & Compliance
Lead and manage the full month-end and year-end close processes to ensure timely and accurate financial statements.
Oversee the preparation of all financial reports, including P&L, Balance Sheet, and Cash Flow statements.
Ensure full compliance with local and international tax regulations and statutory reporting requirements.
Manage relationships with external auditors and lead the annual audit process.
Team Leadership & Operations
Manage and mentor the accounting team (Bookkeeping and Payroll).
Oversee the global payroll process.
Implement and maintain robust internal controls to ensure data integrity across the organization.
Systems & Automation
Play a key role in ERP implementation (transitioning from manual processes to automated workflows).
Optimize "Order-to-Cash" and "Procure-to-Pay" cycles to improve efficiency and reduce manual intervention.
Collaborate with the Director of Finance to integrate financial systems with the CRM
Cash & Treasury Management:
Monitor daily cash balances and manage global treasury functions, including intercompany transfers.
Optimize working capital and manage vendor relations and payment terms.
Requirements:
Bachelors degree in Accounting; CPA is a must.
6+ years of accounting experience, including Big 4 (Hi-Tech department).
At least 4 years as a Controller in a high-growth tech/SaaS company.
Deep knowledge of IFRS.
Experience with advanced ERP systems (Microsoft Dynamics is a significant advantage).
A "Builder" mentality-you enjoy creating processes from scratch and driving optimization.
High-level English (written and verbal).
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8623643
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סגור
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
28/04/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are where the creative arts meet technology. If theres one thing we all have in common, its a love of music and film, which is why we build innovative products to help global brands and individual creators make amazing videos. Creative AI and tools, built for creators. Our mission is to empower creators and brands to bring their vision to life with video. We provide the newest AI tools and models for image, video, and voiceover, all in one place - along with high-quality creative assets and powerful editing tools. We are the choice of over 30 million creators worldwide, helping you stay on trend, create with confidence, and achieve your creative goals. Were seeking a full-time Treasury Manager to join our growing finance team in Tel-Aviv. This role reports directly to our VP Finance.
Wake up for this:
* Take full ownership of all global bank accounts, ensuring visibility and optimal liquidity management across the company.
* Serve as the primary point of contact for all financial institution partners worldwide to ensure we receive best-in-class service and competitive commercial terms.
* Design and execute sophisticated hedging strategies..
* Lead the charge in adopting AI-driven treasury tools and automation.
* Continuously audit our account structure to minimize fees and maximize interest.
* Develop and maintain a dynamic, automated rolling cash forecast.
* Oversee complex intercompany settlements to ensure all global subsidiaries are properly capitalized and compliant.
* Establish high-security protocols for global fund transfers and own all KYC/AML regulatory processes with banking partners.
* Manage the Billing and Collections team, ensuring high operational efficiency in high-volume transaction processing and payment cycles.
* Optimize the "Order-to-Cash" flow by bridging the gap between billing execution and global bank clearing.
Requirements:
* At least 5 years of finance experience within a treasury team of a high-growth tech company.
* Proven experience in leading operational teams and managing complex, high-volume transactional workflows.
* Proven track record of managing and optimizing complex, multi-national banking relationships and executing professional hedging strategies.
* Ability to determine and build banking structures from the ground up, rather than just maintaining existing ones.
* A deep passion for tech adoption - you actively seek automated, systemic solutions over traditional manual processes.
* A self-motivated professional who can lead complex financial projects from conception to completion with minimal supervision.
* Strong understanding of international banking regulations, tax implications of cross-border cash movement, and KYC processes.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8627430
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