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Location: Ramat Gan
Job Type: Full Time and Hybrid work
we are looking for a Senior Business Operations Associate.
As a Senior Business Operations Associate youll play a key role in driving our growth and expansion into new markets while ensuring our global infrastructure runs smoothly and our customers experience a seamless journey.
In this role, you'll lead two team members and serve as the operational backbone for some of our most critical functions - from establishing new legal entities across the world to ensuring we remain compliant in every market we operate in.
This is a great opportunity for someone who thrives in a fast-paced fintech environment, is highly detail-oriented, and is excited about making a real impact at a global scale.
Responsibilities:
Establish new subsidiaries across the world
Research and understand local VAT/GST, withholding tax, and e-invoicing requirements for new and existing markets.
Act as the primary source to identify these "facts on the ground" and perform a clean technical handoff to the Accounting and Controlling teams for execution and compliance.
Handle day to day customer emails
Regular audit and maintenance of the entity details
Assist in streamlining processes with AI to make them efficient
Verify customer data by performing compliance checks
Coordinating between multiple teams and stakeholders
Requirements:
3-5 years experience in Fintech/Hi-tech
Bachelors degree in Economics/Finance/Accounting
Experience operating Procurement systems (Ariba, Coupa, etc.)
Advanced Excel experience and powerpont
Impressive interpersonal and communication skills
Outstanding attention to detail, with an ability to spot numerical errors
Highly organized with the ability to multitask and work under pressure
Tech savvy and the ability to pick up new technology quickly
Second language is a nice-to-have (Spanish)
This position is open to all candidates.
 
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לפני 4 שעות
חברה חסויה
Location: Ramat Gan
Job Type: Full Time and Hybrid work
You'll be a part of the Business Operations team and will have the opportunity to support our growth and expansion into multiple countries, help ensure that our global infrastructure runs smoothly and that our customers experience is seamless.
This is a great opportunity for someone early in their career who is detail-oriented, eager to learn, and excited about working in a fast-paced fintech environment with a global footprint.
Responsibilities:
Handle day to day customer emails
Assist in streamlining invoicing processes to make them efficient
Reviewing client contracts and assessing
Computing complex revenue models
Collaborating with different teams to help build automation
Issuing timely invoices to the clients via different ERP and procurement systems
Tracking payments
Requirements:
2 years experience at a scaling Fintech/Hi-tech company
Undergraduate Bachelors degree in Economics/Finance/Accounting
Advanced Excel experience and powerpoint
Impressive interpersonal and communication skills
Strong computer skills with advanced Excel skills
Outstanding attention to detail, with an ability to spot numerical errors
Highly organized with the ability to multitask in a fast pace environment
Tech savvy and the ability to pick up new technology quickly
Strong English skills - verbal and written
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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לפני 4 שעות
חברה חסויה
Location: Ramat Gan
Job Type: More than one
We are seeking a FinOps Associate to join our rapidly growing team. This is an opportunity to join the Finance Operations team and make a significant impact at a rapidly growing global fintech company. This position will report to the Finance Operations Manager. This is a key role in delivering supreme support and service to our customers.
You will be a valuable resource throughout the invoicing process and a crucial point of contact for our customers. If you have excellent interpersonal and communication expertise, strong writing and analytical skills and a desire to leverage your knowledge of fintech and payments; this opportunity is a perfect fit.
Responsibilities:
Review customer invoices received ensuring their accuracy and timeliness
Send out client invoices ensuring they are accurate and compliant
Work with customers to correct payment details provided or to obtain any missing information
Verify customer data by performing tax compliance checks and bank verification procedures
Handle day to day customer tickets and emails related to the invoicing process
Identify opportunities for improvement and provide recommendations to enhance process efficiency
Requirements:
Undergraduate Bachelors degree in economics/finance/accounting is preferred
Fluent English language skills - written and verbal - a must
Fintech/Hi-tech experience is preferred
Impressive interpersonal and communication skills
Strong computer skills with advanced Excel skills
Outstanding attention to detail, with an ability to spot numerical errors
Highly organized with the ability to multitask and work in a fast paced environment
Tech savvy and the ability to pick up new technology quickly
Able to accommodate global working hours - Monday-Friday
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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לפני 4 שעות
חברה חסויה
Location: Ramat Gan
Job Type: Full Time and Hybrid work
we are seeking a Finance Operations Team Lead to join our finance operations team. This is an opportunity to make a significant impact at a rapidly growing multinational fintech company.
This is a key role in delivering supreme support and service to our team members and customers. You will be a valuable resource throughout the invoicing and payment process and a crucial point of contact for our customers.
As a team leader, you will be the contact point for all team members, so your communication skills should be excellent. You should also be able to act proactively to ensure smooth team operations and effective collaboration. If you have excellent interpersonal and communication expertise, strong writing and analytical skills and a desire to leverage your knowledge of fintech and payments; this opportunity is a perfect fit. This role will report to the VP Operations.
Responsibilities:
Create an inspiring team environment with an open communication culture
Delegate tasks and set deadlines for your internal team
Discover training needs and provide coaching
Set clear team goals and motivate team member
Monitor team performance and report on metrics
Work with customers to correct payment details provided or to obtain any missing information
Handle team and customer support related to the entire invoice and payment process.
Identify opportunities for improvement and provide recommendations to enhance process efficiency and automations
Work cross functionally with other departments (such as tech, support, customer success) to ensure that issues are resolved and to improve processes
Requirements:
Undergraduate Bachelors degree in economics/finance/accounting is preferred
5+ years of experience in fintech or hi-tech industries, preferably in financial operations, purchasing operations, customer support, invoicing, or billing
2+ years of experience as a team leader or supervisor
Excellent communication and leadership skills
Fluent English language skills - written and verbal - a must
Organizational and time-management skills
Able to accommodate global working hours - Monday-Friday
Strong computer skills with advanced Excel skills
Outstanding attention to detail, with an ability to spot numerical errors
Highly organized with the ability to multitask and work in a high growth environment
Tech savvy and the ability to pick up new technology quickly
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 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
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חברה חסויה
Location: Ramat Gan
Job Type: Full Time
We are seeking a highly capable and hands-on Corporate Finance Controller to lead the companys financial operations.

This role combines strategic financial leadership with operational excellence, ensuring accurate reporting, strong internal controls, and full compliance with US GAAP and regulatory requirements.

You will oversee day-to-day finance activities, manage month-end and year-end closing processes, lead the annual audit, and serve as the primary point of contact for external auditors and banking partners. The role requires close collaboration with cross-functional teams, ownership over complex accounting matters including revenue recognition, and continuous improvement of financial processes and systems.

The ideal candidate is detail-oriented yet business-minded, thrives in fast-paced environments, and brings strong analytical capabilities alongside excellent communication skills. This is a key financial position with direct impact on the companys financial integrity, growth, and strategic decision-making.

What will you be doing:
Supervise and manage finance employees (both direct and matrix management).
Full responsibility on all day-to-day financial activities.
Oversee daily financial operations of the company.
Supervise monthly, quarterly and year-end closing processes.
Enhance monthly & quarterly reports and strengthen financial controls over financial reporting.
Ensure compliance with US GAAP and internal reporting requirements.
Lead annual audit process and manage audit deliverables.
Manage relationships and ongoing work with external auditors and banks
Oversee revenue recognition and complex accounting matters.
Work closely with different departments across the group, providing financial guidance and support.
Implement and improve policies, procedures, and financial processes to support the companys growth.
Ad-Hoc tasks and projects.
Requirements:
Knowledge and Skill Requirements:
CPA from a Big 4 accounting firm- Big Advantage.
At least 3-4 years as a controller.
Experience from Hi-tech company or startup - Must.
Experience with US GAAP and complex accounting issues.
Solid understanding of ERP systems and financial processes - experience with NetSuite is an advantage.
Broad business perspective with the ability to lead cross-organizational processes.
Strategic thinking with strong attention to detail.
Ability to analyze financial data and prepare financial reports and statements.
Willingness to work flexible and extensive hours.
Excellent communication skills in English.
Ability to handle multiple priorities in a fast-paced environment.
Excellent time-management and organizational skills.
Outstanding interpersonal skills.
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 talented and motivated FP&A Analyst to join our growing Finance team. In this role, you will own forecasting, partner closely with business leaders, and analyze financial results to identify opportunities that drive impact and move the needle across the organization.
You will operate in a highly technological, data-driven environment, working cross-functionally to support decision-making and influence business outcomes in a fast-paced setting.
What youll do:
Own the financial heartbeat of the business - Lead forecasting, budgeting, and performance analysis, ensuring leadership has a clear, forward-looking view of where the business is headed.
Drive strategic decision-making - Partner with cross-functional leaders to translate financial insights into actionable recommendations that shape priorities, investments, and growth initiatives.
Be a trusted advisor to leadership - Deliver accurate, timely, and impactful financial insights to senior management and key stakeholders. Not just the what, but the why and the whats next.
Build models that influence outcomes - Design and maintain sophisticated financial models that support strategic initiatives, scenario planning, and long-term decision-making.
Identify opportunities and challenge the status quo - Proactively spot trends, risks, and upside opportunities, and work with teams across the company to improve performance and efficiency.
Scale FP&A for the future through technology and innovation - Design, automate, and standardize best-in-class FP&A processes and policies that are robust and scalable, while leveraging advanced tools to build complex, dynamic financial models in a modern analytics environment.
Requirements:
4+ years of relevant experience in FP&A, Advisory or Consulting, or as a Big-4 alum
Highly tech-savvy and data-driven, with hands-on experience in advanced SQL and Power Query; Python is a plus.
Bachelors degree in Accounting, Economics, or Business Administration.
A collaborative, proactive team player with a strong sense of ownership and a can-do mindset.
Proven ability to thrive in fast-paced environments, manage priorities, and drive complex initiatives, combining strong analytical thinking with creative problem-solving.
Fluent English, both written and spoken, with the ability to communicate insights clearly and confidently.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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05/04/2026
חברה חסויה
Location: Ramat Gan
Job Type: Full Time
Alice.io is seeking a highly capable and hands-on Corporate Finance Controller to lead the company’s financial operations. This role combines strategic financial leadership with operational excellence, ensuring accurate reporting, strong internal controls, and full compliance with US GAAP and regulatory requirements. You will oversee day-to-day finance activities, manage month-end and year-end closing processes, lead the annual audit, and serve as the primary point of contact for external auditors and banking partners. The role requires close collaboration with cross-functional teams, ownership over complex accounting matters including revenue recognition, and continuous improvement of financial processes and systems. The ideal candidate is detail-oriented yet business-minded, thrives in fast-paced environments, and brings strong analytical capabilities alongside excellent communication skills. This is a key financial position with direct impact on the company’s financial integrity, growth, and strategic decision-making. What will you be doing:
* Supervise and manage finance employees (both direct and matrix management)
* Full responsibility on all day-to-day financial activities
* Oversee daily financial operations of the company
* Supervise monthly, quarterly and year-end closing processes
* Enhance monthly & quarterly reports and strengthen financial controls over financial reporting
* Ensure compliance with US GAAP and internal reporting requirements
* Lead annual audit process and manage audit deliverables
* Manage relationships and ongoing work with external auditors and banks
* Oversee revenue recognition and complex accounting matters
* Work closely with different departments across the group, providing financial guidance and support
* Implement and improve policies, procedures, and financial processes to support the company’s growth
* Ad-Hoc tasks and projects


About Alice:
Alice is a trust, safety, and security company built for the AI era. We safeguard the communicative technologies people use to create, collaborate, and interact—whether with each other or with machines. In a world where AI has fundamentally changed the nature of risk, Alice provides end-to-end coverage across the entire AI lifecycle. We support frontier model labs, enterprises, and UGC platforms with a comprehensive suite of solutions: from model hardening evaluations and pre-deployment red-teaming to runtime guardrails and ongoing drift detection.
Requirements:
Knowledge and Skill Requirements:
* CPA from a Big 4 accounting firm- Big Advantage
* At least 3-4 years as a controller.
* Experience from Hi-tech company or startup – Must
* Experience with US GAAP and complex accounting issues
* Solid understanding of ERP systems and financial processes – experience with NetSuite is an advantage
* Broad business perspective with the ability to lead cross-organizational processes
* Strategic thinking with strong attention to detail.
* Ability to analyze financial data and prepare financial reports and statements
* Willingness to work flexible and extensive hours
* Excellent communication skills in English
* Ability to handle multiple priorities in a fast-paced environment.
* Excellent time-management and organizational skills.
* Outstanding interpersonal skills
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 Billing Operations Specialist to join our Accounts Receivable team. This role is ideal for someone who is highly detail-oriented, analytical, and energized by improving billing processes in a fast-paced SaaS environment.
What Youll Do:
Manage day-to-day billing operations to ensure timely and accurate invoicing
Partner closely with Accounts Receivable, Finance, Sales, and Operations to resolve billing discrepancies and support billing-related processes
Support billing workflows across Salesforce and ERP systems, with a focus on data accuracy and process efficiency
Reconcile billing data, analyze trends, and prepare reports to support business decision-making
Investigate and resolve billing issues in a timely and professional manner
Help drive process improvements and automation initiatives to enhance efficiency and scalability
Collaborate across teams to support global billing operations and evolving business needs
Requirements:
3-4 years of experience in billing operations, ideally in a high-growth SaaS or fast-paced technology environment
Hands-on experience with Salesforce and ERP systems; NetSuite experience is strongly preferred
Advanced proficiency in Excel, with the ability to analyze large data sets, reconcile billing information, and support reporting needs
Strong analytical and problem-solving skills, with exceptional attention to detail and accuracy
Excellent communication and interpersonal skills, with the ability to work effectively across Accounts Receivable, Finance, Sales, and Operations
Proven ability to manage projects, drive process improvements, and contribute in a collaborative, cross-functional environment
Experience supporting stakeholders across multiple geographies and markets
Additional languages are a plus, particularly in a global business environment
A proactive, solution-oriented mindset with the flexibility to adapt in a dynamic and evolving business setting
Nice to Have:
Experience with marketplace billing is an advantage
Experience working in subscription billing or recurring revenue environments
Familiarity with billing-related reporting, reconciliations, and operational controls
Exposure to international billing processes
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 seeking a highly motivated and analytical FP&A Manager to join our Finance team. In this role, you will be responsible for driving financial visibility and supporting strategic decision-making across the organization. You will lead budgeting, forecasting, financial analysis, and reporting processes, while partnering closely with cross-functional leaders to optimize performance, manage expenses, and support resource allocation.
This role requires strong ownership, the ability to manage and mentor team members, and hands-on experience working with budget owners across the company.
Key Responsibilities:
Planning & Forecasting: Lead the annual budget and rolling forecasts, ensuring alignment with company goals.
BvA Analysis & Budget Ownership: Own the monthly Budget vs. Actual (BvA) process and provide actionable variance analysis. Collaborate with different departments in the organization to drive efficiencies
Reporting & Analysis: Develop financial models, ad-hoc analysis and KPIs, to support business decisions and initiatives
Team Management: Manage, mentor and support FP&A team members, ensuring high-quality execution and professional development
Process Improvement: Continuously improve FP&A processes, streamline workflows, and enhance reporting accuracy and efficiency
Requirements:
5+ years of FP&A or related finance experience
Strong experience leading budgeting, forecasting and complex financial models.
Hands-on analytical skills, including month end processes, BvA and various analysis.
Team player with ability to collaborate with cross functional functions and support senior leadership.
Strong communication and presentation skills.
Ability to manage multiple priorities in a fast-paced environment.
Advanced Excel skills; familiarity with financial systems (e.g., NetSuite,Salesforce) and ability to adapt to new tools quickly.
Strong English communication skills (written and spoken)
Bachelors degree in Economics, Accounting, Business Management or a related field
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 seeking a highly skilled and detail-oriented Financial Controller to join our Finance Department, taking a lead role in executing month-end close processes for our parent company and subsidiaries, preparing consolidated US GAAP financial statements, and overseeing day-to-day accounting operations.
As a Financial Controller, you will bring deep knowledge of accounting and excellent analytical abilities to help shape company policies, inform business decisions, and collaborate effectively with cross-functional teams and external auditors. Your advanced technical skills and passion for systems and data will drive ongoing improvements in our financial operations, ensuring accuracy, compliance, and excellence.
What youll do:
Preparing annual and quarterly consolidated US GAAP financial statements.
Analyzing financial results to provide meaningful insights for management.​
Leading the companys financial close and executing month-end close processes for the parent company and subsidiaries, including accruals, analytics, and preparation of notes.​
Creating innovative accounting processes, leading automation initiatives and implementing financial systems, tools and controls.
Managing ad hoc tasks as needed, including M&A, valuations and global expansion.
Requirements:
Bachelors degree in Accounting and CPA license.​
Minimum of 4 years experience in a Big 4 firm or as an Assistant Controller.​
Extensive Microsoft Excel skills.​
Exceptional attention to detail, versatile and proactive, with high accountability.​
Passion for working with systems and data.​
Ability to perform in a fast-paced environment.​
Ambitious, dedicated team player with strong interpersonal skills.​
Fluent English (spoken and written).​
Experience working with data warehouses (using SQL), Power Query, BI tools (Power BI, Tableau), and NetSuite is a strong 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
8603089
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