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משרה בלעדית
2 ימים
דרושים בריקרוטיקס בע"מ
Job Type: Seniors and Full Time
A fast-growing international iGaming company is looking for an experienced, strategic, and business-oriented CFO to lead the company's financial operations and support its continued growth across Casino and Sports Betting verticals.

The company operates multiple in-house platforms serving international markets and is experiencing significant expansion. The CFO will play a key leadership role, partnering closely with the CEO and executive team to drive financial performance, profitability, operational efficiency, and long-term business strategy.

This is a high-impact position with full responsibility for financial planning, reporting, treasury, risk management, budgeting, forecasting, compliance, and business analysis across multiple GEOs and business units.
Requirements:
Mandatory - proven experience as CFO, Finance Director, VP Finance, or a similar senior financial leadership role.
Mandatory - previous experience within the iGaming, Online Casino, Sports Betting, Gaming, or related online high-volume transactional industry.
Strong experience managing financial operations in international and multi-GEO environments.
Deep understanding of financial planning, budgeting, forecasting, cash flow management, and corporate finance.
Proven experience managing P&L responsibility and driving business profitability.
Strong analytical and commercial mindset with the ability to translate financial data into business decisions.
Experience working with payment providers, PSPs, banking relationships, and complex transaction environments.
Knowledge of regulatory, compliance, tax, and financial reporting requirements in international markets.
This position is open to all candidates.
 
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1 ימים
חברה חסויה
Job Type: More than one
Fully Remote |  Full-Time
A high growth SaaS technology scale up is seeking an experienced and hands on Controller to join its expanding Finance organization. This role is ideal for a strong operator who thrives in dynamic, fast moving environments, and who can balance detailed financial execution with strategic visibility.
The Controller will work directly with the CFO and play a critical role in building scalable finance infrastructure as the company enters its next stage of growth. This position oversees the full accounting, reporting, tax, and financial operations landscape across the parent company and global subsidiaries.

What Youll Do:
Lead monthly, quarterly & annual close processes
Own global accounting & financial reporting (US GAAP)
Manage audits, tax, and compliance across multiple entities
Oversee AR/AP, payroll, and financial operations
Support budgeting, forecasting & SaaS metrics tracking
Oversee cash flow forecasting and liquidity planning.
Improve systems, processes & internal controls
Partner with leadership on financial insights & growth
Requirements:
Willingness to work from home.
5+ years of finance experience.
CPA - required.
Proven experience as Assistant Controller, Controller, or similar role in a SaaS company, technology company or global organization.
Strong background in accounting and financial reporting
Significant experience managing audits end-to-end.
Very high proficiency in English (written and spoken), due to global operations and frequent communication in English.
Experience coordinating internal teams and external service providers.
 Hands-on, detail-oriented approach with the ability to understand the broader business context.
This position is open to all candidates.
 
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14/05/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
As VP Finance, you will bring both strategic vision and hands-on execution to every aspect of our financial operations, from long-range planning and investor relations to revenue operations and regulatory compliance. You are a builder who thrives in ambiguity, moves fast, and can zoom in and out between board-level narratives and ground-level detail.

What will you own?

Set the financial strategy and vision , in close partnership with the leadership team

Own full P&L accountability, annual budgeting, and multi-year financial planning

Lead and mature our FP&A function, building scalable forecasting processes, tracking burn, headcount, and key SaaS performance metrics

Translate complex financial data into clear strategic recommendations that drive growth, efficiency, and informed decision-making across the business

Serve as a key financial voice in VC board meetings, presenting performance, runway, and budget impact with confidence and clarity

Partner with the CEO, RevOps, and GTM leaders to model pricing strategies, optimize revenue, and design commission structures

Oversee financial compliance, risk management, and internal controls across our global operations

Ensure strong command of Israeli tax law and navigate US regulatory requirements as we scale internationally
Requirements:
8+ years in senior finance roles, with meaningful experience leading finance in a high-growth B2B SaaS startup environment

Deep expertise in P&L ownership, budget management, and building scalable financial processes from the ground up

Fluent in SaaS metrics- ARR, NRR, CAC, LTV, churn and how they connect to business strategy

Hands-on experience with sales order management, billing operations, and revenue recognition, ideally using NetSuite

Proven track record designing and managing complex commission structures and performance review cycles

Strong command of Israeli tax and regulatory frameworks; US finance exposure is a significant advantage

Exceptional communicator with the ability to influence at all levels - from board decks to cross-functional alignment with legal, GTM, and product teams

Strategic thinker who is equally comfortable rolling up their sleeves and diving into the details
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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28/05/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Seniors and Full Time
Our technology enables agility, consolidates data, and automates operations to a degree previously thought impossible.

After a successful launch in Israel, we are now expanding to the U.S. with a clear goal of creating a world of fully autonomous financial institutions operations.

If you are looking to solve complex problems and modernize an entire industry, this is where you belong.

Job Description
We are looking for a VP Finance who brings strong business judgment, financial rigor, and strategic perspective. This role partners closely with the CEO and leadership team to translate strategy into financial plans, provide clarity on performance, and support high-quality decision-making as the company scales.

The ideal candidate combines a hands-on approach with deep experience in SaaS environments , and is comfortable operating across both day-to-day finance and company-level strategic initiatives.

Responsibilities
Strategic Finance & Planning - Lead AOP and 5-year planning processes; translate strategy into financial plans, targets, and resource allocation frameworks.
Forecasting & Performance Visibility - Own forecasting and reporting with a focus on key SaaS drivers (ARR, churn, CAC, LTV, margins); deliver actionable insights on risks and opportunities.
Fundraising & Investor Support - Lead financial storytelling, model preparation, and diligence processes; partner with the CEO on investor communications and narrative.
Business Partnership - Serve as a trusted advisor to Sales, Product, and Delivery; provide financial perspective on pricing, GTM efficiency, and investment decisions.
Accounting & Financial Operations - Oversee accounting, compliance, controls, AR/AP, payroll, and cash flow management.
Systems & Data - Deploy and strengthen financial systems and reporting tools; ensure data integrity and accessibility across the organization.
Team Leadership - Build and lead the finance function; foster a culture of rigor, ownership, and cross-functional partnership.
Requirements:
10+ years of finance experience, including leadership roles - preferably in a US public company
Proven experience in SaaS companies with strong understanding of recurring revenue models and metrics (ARR, churn, CAC, LTV) - Must
Experience supporting or leading fundraising processes
Strong foundation in FP&A and accounting
Experience overseeing accounting operations (including AR/AP and close processes)
Experience leading company-level planning processes (e.g., AOP)
Demonstrated experience leveraging AI tools within finance processes - automation, forecasting, reporting, or financial analysis
Experience with FinOps - managing and optimizing cloud or operational costs
Hands-on, with strong financial modeling and analytical skills
Experience leading or participating in a financial systems implementation - NetSuite experience is a strong advantage
Strong communication and stakeholder management capabilities
Cross-border experience
English bilingual - a major 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
8669166
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09/06/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
we are looking for a Corporate Controller.
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
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8687163
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28/05/2026
Location: Petah Tikva
Job Type: Full Time
we are a rapidly growing global pharmaceutical company with a strong global presence, operating in 5 continents and over 30 countries. Our mission is to provide access to highly innovative therapies to patients who suffers mainly from cancer and rare diseases, in many international markets. If you are passionate about making a difference and want to be part of our mission, join us! The Senior Director, Global Accounting is a hands-on leader within the Finance team, responsible for overseeing accounting, financial compliance, and reporting across Medisons global subsidiaries. The role combines direct involvement in critical processes with leadership of a global network of finance teams, with a focus on strengthening consistency, building scalable processes, and elevating standards across all regions. You will act as a key partner to the VP Finance and senior leadership, shaping and continuously improving how accounting operates globally.
Responsibilities:

* Lead and oversee accounting, compliance, and financial reporting across all global subsidiaries
* Manage and develop a global network of accounting professionals and regional finance leaders
* Ensure timely and accurate monthly, quarterly, and annual financial closing processes
* Oversee statutory reporting, tax filings, and compliance with local requirements
* Work with tax to support compliance with all local tax requirements
* Ensure alignment with IFRS and group accounting policies across all entities
* Support our corporate reporting in consolidation, audit processes, and group-level reporting
* Drive standardization of accounting processes and reporting practices across regions
* Strengthen and maintain internal controls, including SOX and compliance frameworks
* Lead process improvement and automation initiatives to support scalability
* Partner with FP&A, IBT, and other finance functions to enhance systems and data integrity
* Represent global accounting in cross-functional and cross-regional initiatives
* Reporting to Groups VP Finance with an internal title of Senior Director, Accounting, Finance
City:
Petah Tikva
Requirements:
* CPA or equivalent qualification
* 15+ years of experience in multinational, multi-entity environments
* Strong experience with IFRS or US GAAP in global organizations
* Experience working in complex, multi-currency and multi-jurisdiction environments
Proven track record in:
* Leading accounting functions in global organizations with multiple subsidiaries
* Managing and developing teams across different geographies
* Driving financial closing, statutory reporting, and compliance processes
* Building and improving internal controls and governance frameworks
* Leading process improvements and implementing scalable solutions
* Working effectively in a matrixed, cross-functional environment
* Familiarity with Pharma industry/Inventory - an advantage
Key Capabilities
* Hands-on approach combined with strong leadership and coordination skills
* Ability to balance attention to detail with a broader organizational view
* Strong stakeholder management and communication skills
* High level of ownership and accountability
* Ability to operate effectively in a fast-paced, growing organization
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Ramat Gan
Job Type: Full Time
we are looking for a strategic and hands-on FP&A Manager to own and elevate our top-line financial planning across the business. This is a high-impact role at the intersection of Finance, Sales, Marketing, and Customer Success - driving visibility from bookings through ARR to revenue.

Youll play a key role in shaping how we plan, measure, and optimize growth. Working closely with GTM leadership, youll translate data into insights, guide decision-making, and help scale a best-in-class SaaS financial engine.

If you thrive in fast-paced environments, enjoy partnering with business leaders, and want to directly influence growth strategy - this role is for you.



Key Responsibilities

GTM Planning & Forecasting: Lead annual planning and rolling forecasts for bookings, ARR, and revenue. Partner with Sales, Marketing, and Customer Success leaders to align financial targets with business strategy.
Reporting & Analysis: Build and maintain robust financial models to support growth initiatives and strategic decisions. Deliver actionable insights on pipeline, conversion, pricing, and revenue performance.
Capacity Modeling: Support capacity and workforce planning aligned with GTM productivity and efficiency goals. Analyse productivity metrics, and investment efficiency across the funnel.
Pricing: Partner on pricing strategies for new and existing products. Conduct margin analysis and support packaging and monetization decisions.
BvA Analysis: Own monthly BvA analysis for top-line metrics, translating variances into clear business actions. Track and evolve key SaaS metrics (ARR, NRR, pipeline coverage, etc.)
Process Improvement: Improve FP&A processes, reporting, and tools to support a scaling global organization.
Requirements:
8+ years of FP&A or related experience, with strong exposure to SaaS / GTM finance
Experience owning top-line planning (bookings / ARR / revenue)
Strong financial modelling and analytical skills, with the ability to connect numbers to business narratives
Experience partnering with Sales / Marketing / GTM leaders
Proactive, ownership-driven mindset with the ability to operate independently
Excellent communication skills and ability to influence senior stakeholders
Advanced Excel skills; experience with tools like NetSuite, Salesforce, or similar systems
Bachelors degree in Finance, Economics, Accounting, or related field
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8665184
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2 ימים
חברה חסויה
Location: Petah Tikva
Job Type: Full Time
Medison offers hope to patients suffering from rare and severe diseases by forming partnerships with emerging biotech companies to accelerate access to highly innovative therapies in international markets. As the creator and leader of the global partnership category in the pharma industry, we strive to be Always Ahead and work relentlessly to bring therapy to patients in need, no matter where they live. Our values are at the core of every action we take, and we are committed to going above and beyond for the benefit of the patients we serve. We are a dynamic, fast-paced company operating in over 30 countries on 5 continents. We are looking for out-of-the-box thinkers, people who are passionate, caring, agile, and adaptive, to join us on our mission. If you want to make a difference in people's lives, we invite you to join us! This unique role has a direct influence over the company’s core financial processes and business model, with full ownership of the regional Gross Margin -as well as other related financial activities. The scope includes financial modeling, monthly closing and reporting, profitability analysis and more, all involving accounting support as well as internal control processes. The position enjoys direct working relationship with senior management, cross?functional teams, as well as external partners

Responsibilities:

* Lead the revenue and cost accounting areas, including end?to?end processes, controls, and review of key activities and outputs.
* Lead and support the accounting treatment of complex revenue and cost transactions in accordance with applicable accounting standards.
* Develop and implement complex financial models in alignment with contractual terms and accounting requirements.
* Conduct detailed monthly analyses and provide actionable insights to senior management.
* Ensure accurate and timely monthly closing and financial reporting processes, including inventory management, in compliance with accounting standards.
* Collaborate with external partners and prepare periodic reporting.
* Collaborate with cross?functional teams (Finance, Legal, Operations, IT and regional stakeholders) to identify, analyze, and streamline ongoing operations and reporting requirements.
* Review legal agreements to ensure alignment with financial principles, workflows, standards, and proper accounting adoption.
* Maintain and update price lists, discounts, and pricing exceptions.
* Liaise with external auditors throughout audit processes.
* Lead and support ad?hoc financial projects as required.

City:
Petah Tikva
Requirements:
Required education and experience
* Bachelor's degree in accounting (CPA license – mandatory)
* Big4 graduate
* 7-10 years of proven experience in a similar role within global organizations
* Fluent English - written and spoken Required qualification
* Bachelor’s degree in Accounting (CPA – mandatory)
* Team player
* Strong analytical and business?oriented mindset
* High attention to details and accuracy
* Ability to multitask and work under pressure
* Excellent communication and interpersonal skills
* Advanced Excel skills – mandatory Advantages:
* Pharma industry experience
* Inventory cost accounting
* Experience with NetSuite / Priority
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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06/05/2026
Location: Jerusalem and Tel Aviv-Yafo
Job Type: Full Time and Hybrid work
OurCrowd is 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
* Build a growing understanding of how financial processes translate into system behavior

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

Compensation & Benefits:
Please note that this is a junior role with significant growth potential for an exceptional candidate. Accordingly, the salary range for this position is 10,000–12,000 NIS per month.
Requirements:
* 1+ years of experience in data entry, finance operations, or back-office roles
* Bachelor’s 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 Suc
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
As our Director of Revenue, you will be a key leader responsible for revenue assurance, revenue accounting and reporting, billing operations, accounts receivable and cash collection, and SOX compliance. You will set the strategic direction for our companys revenue accounting organization within a high-growth environment defined by complex software licensing, hybrid consumption models, and rapidly expanding public cloud offerings.
This role requires deep technical expertise, fluency in complex revenue models, and the ability to build scalable, high-performing teams and processes capable of supporting our companys trajectory toward a multi-billion-dollar business. You will also be a highly visible partner in commercial and go-to-market decision making, influencing deal structures, and modeling deal outcomes.
You will report to the Vice President, Global Controller and work closely with FP&A, Sales, Deal Desk, Product, Engineering, Legal, and external partners. You will play a critical role in driving operational excellence, ensuring accurate and timely revenue recognition, and establishing best practices to support our companys continued scale.
What You'll Do:
Set direction for the revenue accounting organization and develop strategic plans aligned with our companys hyper-growth roadmap and multi-product monetization strategy.
Lead Billing, Collections, and Revenue Accounting teams.
Design, build, and scale end-to-end revenue processes, ensuring they support complex software licensing arrangements, hybrid and public cloud consumption-based revenue models, and rapidly expanding global operations.
Drive maturation, automation, and standardization of billing and revenue systems and processes, ensuring scalability to multi-billion-dollar volume.
Establish and enhance revenue policies under ASC 606 and ASC 340-40, with specific ownership for complex licensing, usage-based billing, cloud services, multi-element arrangements, and hybrid monetization structures.
Review, structure, and document complex commercial arrangements, including large enterprise licenses, multi-year cloud consumption plans, flexible ramp schedules, and strategic partnership agreements.
Serve as a trusted advisor to Sales, Deal Desk, Product, and GTM leadership on deal structuring, pricing models, and commercial terms.
Maintain strong cross-functional partnerships with Engineering, Product, Sales Operations, Legal, FP&A, IT, Accounting, and Tax.
Ensure timely and accurate revenue close and compliance with US GAAP.
Manage external auditor relationships and support quarterly reviews and annual audits.
Provide ongoing education on complex revenue topics to Sales, Product, and leadership.
Ensure a robust control environment and effective SOX compliance across revenue-related processes and systems.
Foster a culture of continuous improvement and operational excellence across the revenue organization.
Recruit, develop, and retain a high-performing team.
Requirements:
Bachelors degree with 10+ years of progressive accounting experience, including 6+ years in revenue leadership roles within hyper-growth software, cloud, or data-infrastructure companies.
CPA with deep expertise in US GAAP, including ASC 606 and ASC 340-40.
Demonstrated experience with complex software licensing models, hybrid consumption-based arrangements, and public cloud marketplace monetization.
Proven experience architecting and scaling quote-to-cash processes, systems, and teams for a high-growth or multi-product software company.
Expertise with Netsuite, Netsuite ARM, SFDC, Tableau, and similar technologies.
Ability to balance strategic planning with hands-on execution in a fast-paced, evolving environment.
Strong project management skills with the ability to lead multiple high-impact initiatives concurrently.
Excellent communication skills with the ability to simplify and explain complex revenue concepts to technical and non-technical stakeholders.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8680940
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
A leading and innovative cyber threat intelligence company is looking for a highly motivated Controller to join its growing Finance team.

This is a hands-on finance role responsible for managing and supporting the companys accounting operations, financial reporting, and control processes in a fast-growing, international environment. The role combines strong ownership of day-to-day accounting activities with financial oversight, reporting, and process development, supporting accurate US GAAP reporting and scalable finance operations.

What Youll Be Doing:

Prepare monthly, quarterly, and annual consolidated financial statements in accordance with US GAAP
Own and continuously improve month-end, quarter-end, and year-end close processes
Oversee the revenue cycle, including revenue recognition, invoicing, collections, and revenue-related metrics
Track budgets and perform actual vs. budget analysis
Prepare corporate annual tax returns and statutory financial statements
Coordinate ongoing work with external auditors, bookkeepers, banks, and third-party vendors
Prepare accounting schedules, supporting documentation, and audit materials, and manage communication with auditors
Develop, implement, and maintain accounting policies, procedures, and internal controls
Assist in monitoring, analyzing, and maintaining the companys financial KPIs
Initiate and lead automation of accounting and finance processes to improve efficiency, accuracy, and scalability
Work independently while managing multiple priorities and deadlines
Collaborate closely with finance team members and cross-functional stakeholders
Requirements:
Certified Public Accountant (CPA) - mandatory
2+ years of experience at one of the Big Four accounting firms
1-2 years of post-internship experience as a Controller or Assistant Controller in a Hi-Tech or multinational company
Proven experience preparing financial statements and supporting audits end to end
High-level analytical skills with strong data collection and analysis abilities
Ability to work on-site full time from our Tel Aviv office.
Excellent written and verbal communication skills in English
Hands-on, proactive, and solution-oriented approach
Exceptional attention to detail, accuracy, and ability to multitask in a dynamic 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
8659478
סגור
שירות זה פתוח ללקוחות VIP בלבד