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לפני 2 שעות
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are looking for an Senior Financial Controller to own our accounting function end to end. You will report to the VP Finance, and serve as the backbone of our financial operations as we scale. This is a hands on role for someone who has already run a controllership at a high growth company and knows how to build processes that keep pace with rapid growth.


WHAT YOU WILL DO
Own the monthly, quarterly, and annual close process, delivering accurate and timely financial statements
Lead the annual audit process and manage the relationship with external auditors
Own tax compliance across jurisdictions, working with external advisors on corporate tax, VAT, Sales Tax and withholding matters
Oversee payroll and ensure compliance with local requirements
Own the billing and collections cycle, including invoicing, accounts receivable, and cash application
Own revenue recognition in accordance with ASC 606, including contract review and revenue accounting policies
Build, document, and continuously improve accounting processes and internal controls suited to a scaling company
Manage day to day accounting operations, including bookkeeping and finance operations
Drive ERP and finance systems improvements, ensuring our systems support the scale and complexity of the business
Partner with the VP Finance on cash management, financial reporting to management and investors, and ad hoc projects
Requirements:
WHAT YOU WILL BRING
Certified Public Accountant (Israeli CPA) certification.
7 or more years of accounting experience, including prior experience as a Controller.
Experience at a high growth B2B SaaS company.
Hands on experience with Priority ERP.
Experience leading or playing a key role in a NetSuite implementation.
Deep knowledge of revenue recognition under ASC 606 in a SaaS context.
Proven ability to build and scale accounting processes, controls, and systems.
Strong ownership mindset, high attention to detail, and ability to operate independently in a fast moving environment.
Fluent English, written and spoken.
Experience working with United States entities and multi entity consolidation.
This position is open to all candidates.
 
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25/08/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
we are looking for a seasoned Director of Finance to join our growing finance team. This is a key finance role: you will design our future reporting environment, build the accounting function from the ground up, and solidify top-notch reporting standards to support rapid business growth.
As a senior member of the finance team, you will own our core finance operations and manage the outsourced providers that deliver them - bookkeeping, payroll, and accounting - putting in place the processes, checks, and controls that will let us scale with confidence.
Responsibilities
Design and own our company's accounting infrastructure; lead the selection and implementation of our ERP/reporting system, billing, and collection capabilities
Own the monthly financial close process for both GAAP and non-GAAP purposes, ensuring consistent, timely, and accurate reporting
Manage the quarterly and annual preparation of statutory reports (annual financial reports and tax reports) across our entities, working with external auditors and tax advisors
Manage our outsourced finance functions - bookkeeping, payroll, and accounting providers - owning vendor relationships, service quality, and deliverable timelines
Prepare monthly budget vs. actual reporting and variance analysis, partnering closely with budget owners to track and explain departmental spend
Track and analyze accruals and prepaid expenses as part of the close and variance process Establish internal controls and segregation of duties early, and support the documentation of control requirements
Oversee AR/AP, bank reconciliations, and day-to-day cash operations
Prepare and maintain supporting working papers.
Requirements:
CPA from a Big 4 accounting firm, with a minimum of 5 years of experience Proven experience as a controller or finance director, ideally in a high-growth SaaS or global technology company
Hands-on experience implementing reporting/ERP systems and building finance processes from scratch
Experience managing outsourced finance providers (bookkeeping, payroll, audit) Fluency in English (spoken and written)
Outstanding attention to detail and excellent time management skills
Ability to work in a fast-paced environment and meet tight deadlines
Enthusiasm, strong team communication, hard work, and follow-through.
This position is open to all candidates.
 
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5 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
As a Financial Controller , you will play a key role in shaping and scaling the company's global finance function, supporting its continued rapid growth and expansion. We are looking for a hands-on finance professional with deep accounting, financial reporting, and tax expertise, who thrives in a dynamic, fast-paced environment and is eager to make a meaningful impact.



Key Responsibilities:

Play a key role in the groups month-end, quarter and year-end closing process.
Manage all financial aspects of subsidiaries, ensuring compliance with local financial regulations and the companys policies.
Prepare the statutory financial statements and tax return of the subsidiaries and participate in the financial reporting of the parent company.
Own the Company's ASC 340-40 framework, including the evaluation, capitalization, amortization, and policy governance of sales commissions.
Participate in the Company's transfer pricing framework, including intercompany arrangements, transfer pricing studies, Master File documentation, and global compliance requirements.
Perform monthly and quarterly analytical reviews, providing insights into financial performance and variance analyses, identifying key trends and business insights.
Partner with business leaders across the organization to provide financial guidance and ensure accounting implications are considered in strategic decisions.
Lead cross-functional finance initiatives, driving process improvements, automation, AI adoption, and scalable accounting operations across the organization.
Work closely with external auditors and advisors to support financial reporting and compliance requirements.
Requirements:
CPA with Big 4 experience, including work with high-tech companies.
At least 3 years of relevant post-internship experience in a global SaaS company.
Strong knowledge of US GAAP and technical accounting.
Strong understanding of tax compliance and reporting in a multinational environment.
Hands-on experience managing the financial reporting of international subsidiaries.
Experience leading process improvements, automation, and scalable finance operations.
Experience with NetSuite - an advantage.
Fluent in English, both written and verbal.
Strong analytical skills, with the ability to translate financial data into meaningful business insights.
Independent, proactive, and hands-on, with a strong sense of ownership.
Excellent interpersonal skills, with the ability to build strong cross-functional partnerships.
Comfortable working in a fast-paced, high-growth environment.
Experience leveraging AI tools to improve productivity and finance processes - an advantage.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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8832900
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6 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
The Senior Controller will report to the VP Finance and Operations and manage the Assistant Controller and Accountant, with broad responsibility across accounting, reporting, tax, controls, and financial operations.



Responsibilities
Own the company's accounting and financial reporting, including monthly, quarterly and annual close, and consolidated reporting across multiple entities and jurisdictions.
Manage and develop the finance team (currently an Assistant Controller and an Accountant).
Ensure accurate, timely financial statements in accordance with US GAAP and applicable standards.
Own revenue recognition, intercompany transactions, reconciliations, accruals and balance-sheet management.
Partner with the VP Finance and Operations on financial analysis, management reporting, budgets, forecasts and strategic initiatives, and with Operations, Product, Sales and Legal on business and financial matters.
Manage international tax matters and lead annual audits, working closely with external tax advisors and auditors across the US and other jurisdictions.
Continuously improve processes, systems, automation and internal controls, and support complex transactions, new products and strategic projects as the company scales.
Requirements:
Requirements
CPA with strong accounting fundamentals and 7+ years of relevant experience; startup or high-growth technology experience highly preferred.
Strong experience with consolidations, multi-entity accounting and international operations.
Solid understanding of US GAAP, international tax and financial reporting.
Experience managing and developing finance/accounting team members.
Highly analytical and commercially minded - able to move beyond the accounting and understand the operational implications behind the numbers.
Excellent communication and interpersonal skills, with the confidence to work with senior management and cross-functional teams.
Proactive, hands-on and highly organized, comfortable taking ownership and building processes in a fast-paced, evolving environment.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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22/09/2026
Location: Tel Aviv-Yafo
Job Type: Full Time
We're hiring an AI-First Director of Finance & Compliance to own the financial backbone of a fast-scaling fintech company. Youll lead financial operations, planning, tax, compliance, and reporting - with AI as the operating system, not a layer on top. Every workflow you touch gets rebuilt for speed and leverage. Manual processes are technical debt and your job is to eliminate them. You will also oversee our payment compliance function - KYB/KYC, transaction monitoring, and financial crime risk - ensuring it scales with our growth without adding headcount.

Reporting to the CFO. Hands-on builder. Deeply tech savvy - you configure and adopt tools yourself, you dont wait for someone else to set them up. Startup speed, public-company rigor.

Responsibility

Oversee the books. Manage the external bookkeeping firm handling GL, AP, AR, payroll, and reconciliations.

Own financial reporting. Build AI-generated reporting pipelines for monthly and quarterly P&L analysis, unaudited quarterly reports, and annual audits - reducing the manual assembly time and making reporting continuously current rather than periodic.

Lead tax compliance for U.S. and Israeli operations. Ensure adherence to all statutory financial requirements.

Own FP&A. AI-driven forecasting, scenario modeling, and cash flow management - not spreadsheet-based. Models update dynamically, scenarios run in minutes, and board packages are generated from live data.

Manage treasury. Cash flow, AP, AR, expenses, capital allocation, and revenue recognition - using AI to automate routine categorization, payment scheduling, and variance alerts so nothing falls through the cracks at scale.

Drive board and investor reporting. Financial packages, KPI dashboards, and investor updates.

Own regulatory compliance. Build and maintain compliance frameworks. Use AI-driven monitoring to flag risks and stay ahead of regulatory changes.

Implement internal controls. Design and implement internal controls with AI-assisted monitoring - continuous audit trails, automated exception reporting, and real-time audit readiness rather than point-in-time preparation.

Support capital strategy, including fundraising readiness and strategic financial decisions.

Partner with leadership across Sales, Product, Marketing, Dev and Operations to align financial planning with company goals.

Support pricing and deal structure decisions with financial modeling and margin analysis.
Requirements:
Requirements

Minimum 2 years at a Big 4 firm (EY, PwC, Deloitte, KPMG) plus 4+ years in controller roles at commercial companies, ideally startups, and ideally with 1 promotion.

AI-first operator. You can name the financial workflows you have automated, the tools you implemented, and the time or accuracy gains you measured. Not curious about AI - already using it to outperform.

FP&A strength. Proven ability to build models, forecasts, and board-level reporting from scratch in a high-growth environment.

Deeply tech savvy. You evaluate and implement tools yourself - ERP systems, agentic AI, and accounting platforms. You dont wait for someone else to set them up. High proficiency in Excel is a floor, not a ceiling.

Startup grit. Thrives in ambiguity. Hands-on while building infrastructure around you.

Strong communicator. Translates complex financial topics into clear language for leadership, board, and investors

CPA with Bachelor's degree in Accounting required. Dual degrees (Law/Accounting, Accounting/Economics) preferred.
Extra

Tax and multi-jurisdiction experience across U.S. and international operations.

Experience at a Series A through Series C fintech company.

Background in B2B payments, billing, or collections.

Experience supporting a Series B fundraise.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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20/09/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are currently looking for a talented and highly motivated Controller to join our Group Finance team.
our company, a global fintech group that was founded in 2008 and is listed on the London Stock Exchange with a market cap of approx. USD 3.5 Billion and included within the FTSE250 index. At the heart of our business is our fully-owned and proprietary technology, which powers our trading platforms on OTC, share dealing, and Futures trading. The Group operates in more than 60 countries and retains operating licenses in the United Kingdom, Australia, Cyprus, Israel, New Zealand, South Africa, Singapore, Seychelles, the United States, Estonia, Japan, the United Arab Emirates, and Canada.
The successful candidate will oversee the aspects of financial reporting, local tax submissions, and regulations. On-going cooperation, monitoring budget VS. actual results, as well as the development of internal control policies and procedures. Responsibilities will also include managing and monitoring the financial activity with local management, external advisors, including external accounting firms, and periodic financial reporting. In addition, the role will require support in the implementation of new operations and regulations and the initiation of processes.
Responsibilities
● Ensuring the timely and accurate preparation of the monthly, quarterly and annual closing process.
● In charge of the external audit work, including of Financial Statements.
● Ensuring that appropriate systems and internal controls are implemented and maintained throughout the Accounting & Finance processes.
● Headquarter ad hoc tasks on deep accounting, taxes, and projects
● Work closely with subsidiaries, and provide support and guidelines to the local finance teams
● Responsible for oversight and managing the accounting systems entries.
● Manage and support day-to-day finance operations activities, including accounts payable, cash flow and banking transactions.
● Managing the Companys Taxation affairs via the calculation, provision and payment of all applicable taxes in a timely and efficient manner.
● VAT Reconciliation, review of all vatable entries, preparation of VAT reporting package.
● Monitoring the subsidiaries bank accounts and Daily bank account payments.
● Preparation of Budgeted Vs. Actual spreadsheets.
● Manage the financial reporting packages to the HQ by the subsidiaries and inter-company calculations.
● Review of the Subsidiaries Capital Adequacy ratios.
● Responsible for ensuring proper signatory rights are being implemented and followed on a Group level.
● Work closely and become a business partner of other units in the organization which affect financial reporting
● Review and analyze financial statements in accordance with International Financial Reporting Standards (IFRS).
Requirements:
● CPA, Big 4 Alumni with high-tech department experience.
● 3-4 years as a controller of a public company.
● In-depth knowledge in Excel.
● In-depth knowledge in NetSuite.
● English - strong written & oral communication skills.
● Availability to travel to the HQ Haifa office approximately once a week, with flexibility as needed.
● Well-organized and reliable.
● Strong knowledge and experience in IFRS.
● Experience with adopting new systems or automating accounting processes.
● Ability to work independently, but also as a collaborator on a team.
● Working experience in a fast-paced multinational company environment, with the ability to operate in diverse cultures.
This position is open to all candidates.
 
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1 ימים
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Required Assistant Controller
As an Assistant Controller, youll join our Finance team and report directly to the Corporate Controller. In this hands-on role, youll support the companys global accounting operations, financial close and consolidation processes, technical accounting, tax compliance, and audit activities.
Youll collaborate closely with Finance team members and stakeholders across our business units to ensure accurate financial reporting, strengthen internal controls, and develop scalable accounting processes. This is an excellent opportunity for an experienced CPA who combines strong technical accounting knowledge with analytical thinking, a technology-driven mindset, and the ability to operate effectively in a fast-paced, global environment.
Responsibilities
Support the monthly, quarterly, and annual close processes for multiple legal entities of the group and assist with consolidation under US GAAP.
Prepare, post, and review journal entries, accruals, balance sheet reconciliations, and flux analyses across P&L and BS accounts.
Apply and document technical accounting matters, including ASC 606 (Revenue Recognition), ASC 842 (Leases), and ASC 350-40 (internal-use software).
Work with external auditors: prepare working papers, provide samples, and respond to auditor requests.
Prepare Israeli statutory tax filings; assist in the preparation and review of tax filings for the companys subsidiaries; review periodic VAT and withholding tax reports.
Support transfer pricing study preparation and ongoing compliance across global operations.
Assist in designing and documenting internal controls and accounting policies as the company scales.
Support ongoing financial operation activities.
Requirements:
3+ Years of experience at Israeli CPA with experience at a Big 4 accounting firm.
Strong US GAAP knowledge, especially ASC 606; experience with multi-entity, multi-currency consolidation.
Advanced Excel skills.
Excellent written and spoken English.
Experience with NetSuite (FloQast is an advantage).
Strong technological capabilities with an AI-driven mindset.
High ownership, strong analytical skills, and a can-do attitude in a fast-paced environment.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
Required Corporate Controller
About the team:
We change the way we drive, from preventing accidents to semi and fully autonomous vehicles. If you are excellent, bright and a hands-on person with a passion to make a difference, come to lead the revolution!
We are looking for an experienced finance leader to take ownership of our global financial reporting, consolidation, and compliance activities. This highly visible role will lead quarterly and annual closing processes, oversee statutory and tax reporting, and ensure accounting excellence across global subsidiaries. Acting as a key partner to senior stakeholders and external auditors.
This position will serve as a key pillar within the Finance organization, playing a central role in driving financial excellence, strengthening cross-functional alignment, and supporting the companys global financial operations.
What will your job look like:
Managing the overall closing and consolidation process (quarterly and annually).
Responsibility for the preparation of annual solo reports, tax reports and supporting incentive plans.
Oversee global and domestic subsidiaries to ensure consistent accounting policies, compliance with closing procedures, and effective internal controls over financial reporting in accordance with Sarbanes-Oxley requirements.
Act as the primary internal contact for external independent auditors during quarterly reviews and annual audits.
Managing the process of quarterly and annual financial statements preparation (10-Q and 10-K) and press releases.
Drive continuous improvement, automation, and standardization of accounting and reporting processes across the group.
Ensure timely identification, assessment, and implementation of new accounting standards and SEC reporting requirements.
Work closely with the accounting team to set and implement policies, accounting & procedures.
Ad-Hoc tasks and projects.
Manage and develop the corporate and reporting team, including prioritization, coaching, and review of deliverables.
Requirements:
10+ years of professional experience, preferably corporate accounting experience.
Experience in managing controlling / reporting team- Must (Public company advantage).
Bachelors degree in accounting, CPA (Big 4 accounting firms) - Must.
Experience with ERP systems (NetSuite - advantage).
Tax knowledge.
US GAAP knowledge.
Excellent English (written and verbal) - Must.
Excellent organization skills and the ability to handle multiple, competing tasks simultaneously.
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 and Hybrid work
We are looking for a Controller to join our Corporate Accounting team. In this key role, you will be responsible for financial reporting and finance operations, enhancing the accuracy of the companys reported financial results and ensuring compliance with International Financial Reporting Standards (IFRS).

Your Key Responsibilities Will Include:
Lead the monthly, quarterly, and annual closing process, ensuring the accuracy of financial records, including accruals, billing processes, revenue recognition and intercompany reconciliations.
Review client contracts and determine the proper treatment of revenue recognition.
Prepare accurate and timely consolidated financial statements in accordance with IFRS and/or US GAAP.
Prepare reporting presentations for management and investors, summarizing financial results and key business drivers.
Work with subsidiary finance teams and support our bookkeeper by providing guidance.
Conduct budget-vs-actual (BvA) and variance analysis.
Coordinate with external auditors during the annual audit.
Support tax matters and transfer pricing studies.
Manage ad-hoc accounting and finance projects, and drive process improvements as needed.

Location & Work Model: Hybrid, based out of our Tel Aviv office.
Requirements:
Degree in Accounting and CPA license.
Big 4 experience; prior exposure to a public company or Hi-Tech environment is preferred.
6-8 years of accounting experience following a Big 4 internship.
Experience with monthly, quarterly, and annual closing processes.
Proven ability to work in fast-growing environments, managing multiple priorities and meeting tight deadlines.
Highly organized, with exceptional attention to detail, accuracy, and precision; hands-on, proactive, and solution-oriented.
NetSuite experience required.
Strong knowledge of IFRS.
Experience leveraging AI tools (Claude) in finance processes.
Excellent written and verbal English.
Team player with strong communication and interpersonal skills.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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8796222
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03/09/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
This is an exciting opportunity for a results-oriented professional with a passion for scaling finance teams and processes in a fast-paced startup environment. You will play an integral role in shaping the companys financial future, managing the month-end close process, ensuring compliance, and driving efficiency across our finance function.

How Youll Spend Your Time
Finance Operations & Month-End Close: Lead daily finance operations and ensure the month-end close process is accurate and completed on time, providing reliable financial statements.
Process Optimization: Continuously evaluate and improve financial processes to enhance accuracy, efficiency, and compliance.
Accounting Research & Compliance: Keep up-to-date with evolving accounting standards and local tax regulations. Ensure compliance with all statutory and regulatory requirements while conducting research on complex accounting matters.
Audit Management: Manage the audit process, working closely with external auditors to ensure accurate, industry-standard financial reporting.
Cross-Functional Collaboration: Partner with teams across the company to collect insights, data, and feedback, driving better financial decision-making and alignment.
Financial Analysis & Reporting: Provide in-depth financial analysis (including Budget vs. Actual and trend reports) to support business decisions and guide strategy.
Requirements:
Education: A Bachelors degree in Finance, Accounting, Business, Economics, or a related field. CPA certification and experience with a Big 4 accounting firm required.
Experience: At least 3 years of experience as a Controller, preferably within a high-growth startup or fintech company.
Skills: Strong knowledge of accounting principles, financial reporting, and tax compliance. Proficient in accounting software and financial systems, with NetSuite experience a must.
Startup Mindset: Proven ability to thrive in a fast-paced, rapidly changing environment, balancing multiple tasks and priorities.
Analytical Skills: Exceptional problem-solving abilities, attention to detail, and the capacity to communicate complex financial data clearly and effectively.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
עדכון קורות החיים לפני שליחה
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20/09/2026
חברה חסויה
Location: Tel Aviv-Yafo
Job Type: Full Time
We are currently looking for a Subsidiaries Controller to join our Group Finance team in Tel Aviv.
we are a global multi-asset fintech group operating proprietary technology-based trading platforms. our company offers customers a range of trading products, including Contracts for Difference ("CFDs") and share dealing, as well as futures and options on futures.
we are seeking a talented, highly motivated team player for a Subsidiaries Controller role that will oversee all aspects of financial reporting, local tax submissions, and regulatory compliance, together with ongoing monitoring of budget vs. actual results and the development of internal control policies and procedures. Responsibilities will also include managing and monitoring financial activity with external advisors and accounting firms, and periodic financial reporting. In addition, the role will require support in the implementation of new operations and regulations and the initiation of processes.
Responsibilities
Oversee the monthly, quarterly, and annual financial statement close process and consolidation of subsidiaries
Manage the financial reporting packages to HQ by the subsidiaries
Headquarter ad hoc tasks on deep accounting, taxes, and projects
Monitor compliance with local statutory reporting requirements and other related filings
Lead and be the finance focal point for the establishment of new subsidiaries (taxation, ERP, training for new service providers, monthly reporting package, etc.)
Work closely and become a business partner of other units in the organization that affect financial reporting
Review and analyze financial statements in accordance with International Financial Reporting Standards (IFRS).
Analyze variances of budget vs. actual and set action plans to provide meaningful feedback
Finance focal point for the subsidiaries' controllers.
Requirements:
CPA, Big 4 Alumni with high-tech department experience
3+ years of combined accounting and finance experience
Experience with adopting new systems or automating accounting processes
Strong analytical, problem-solving, and decision-making skills
Highly organized, an excellent multi-tasker, with strong time-management skills
Ability to work independently, but also as a collaborator on a team
English - high proficiency
Experience with NetSuite ERP - Advantage
Working experience in a fast-paced multinational company environment, with the ability to operate in diverse cultures.
This position is open to all candidates.
 
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עדכון קורות החיים לפני שליחה
עדכון קורות החיים לפני שליחה
8826853
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שירות זה פתוח ללקוחות VIP בלבד