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2 ימים
חברה חסויה
Location: Merkaz
Job Type: Full Time
abra is seeking a Business Unit (BU) Controller to join our finance team. We are looking for a highly analytical and business-oriented finance professional who thrives in dynamic environments and enjoys building processes from the ground up. This role combines financial expertise with strategic partnership, enabling business leaders to make data-driven decisions that drive growth and operational excellence. This role requires a hands-on approach, strong FP&A capabilities, and the ability to transform complex data into actionable business insights. A full-time on-site position, based in Ra'anana, Israel. Key Responsibilities:
* Lead end-to-end financial processes for the business unit, including planning, forecasting, budgeting, and performance monitoring.
* Build and develop FP&A processes, financial models, and reporting frameworks to support business decision-making.
* Analyze profitability, identify trends and risks, and provide actionable recommendations to senior management.
* Partner closely with business leaders, operations, and HR to support strategic and operational initiatives.
* Drive cross-functional projects and establish scalable financial processes and controls.
* Lead core controllership activities alongside FP&A responsibilities, ensuring accuracy, discipline, and ownership across the full financial cycle.
* Identify inefficiencies and systemic gaps, and implement long-term solutions to improve performance and productivity.
* Utilize technology, automation, and AI tools to optimize financial workflows and reporting capabilities.
* Take full ownership of initiatives from concept through implementation in a fast-paced and evolving environment.
Requirements:
* Certified CPA and graduate of one of the Big 4 accounting firms – mandatory.
* 5–7 years of relevant professional experience.
* Previous experience in a Big 4 firm at Senior level or above.
* Strong hands-on approach with proven ability to lead, build, and implement end-to-end financial processes.
* Extensive experience in financial modeling, budgeting, forecasting, profitability analysis, and performance management.
* Proven ability to establish and develop FP&A processes and generate meaningful business insights.
* Experience leading cross-functional initiatives and working closely with multiple stakeholders, including business managers, operations, and HR teams.
* Strong process-oriented mindset with the ability to identify root causes and design sustainable solutions.
* High level of independence, ownership, initiative, and execution capabilities.
* Strong leadership, influence, and stakeholder management skills, including working with senior executives.
* Advanced proficiency in Excel.
* Strong technological orientation, including an interest in automation and AI-driven process improvement. Nice to Have:
* Previous industry experience in a first finance role such as Assistant Controller, Controller, FP&A, or a similar position.
* Alternatively, experience as a Manager within a Big 4 firm, looking to transition into an industry role while bringing expertise in team leadership, complex project management, and stakeholder engagement.
* Familiarity with employee profitability and project profitability concepts.
* Experience working with AI tools such as Claude, Microsoft Copilot, or similar technologies. Who Are We Looking For? We are looking for someone with strong business acumen, exceptional execution capabilities, and a genuine passion for building financial infrastructure and processes. Someone who enjoys rolling up their sleeves, diving into data, creating order from complexity, and leading financial and business initiatives from idea to full implementation. Why Join Us? At abra, you'll have the opportunity to shape financial processes that directly impact business performance, work closely with senior leadership, and play a key role in a growing and evolving organization. If yo
This position is open to all candidates.
 
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חברה חסויה
Location: Netanya
Job Type: Full Time and Hybrid work
We are looking for a skilled, detail-oriented Senior FP&A to join our team.
In this role, you will focus on financial planning, budgeting, forecasting, and performance analysis across the organization - helping shape financial strategy, surface insights into business performance, and ensure we meet our financial objectives.
You will work closely with senior management, influencing key decisions and business outcomes.
Responsibilities
Manage lender-related requirements, including preparing lender-oriented budgets, relevant presentations, and other quarterly deliverables.
Proactively identify meaningful analyses and action items based on a deep understanding of the business and its data.
Participate in developing financial models, forecasts, and budgets to support the company's strategic goals.
Participate in the monthly, quarterly, and annual financial planning processes, including variance analysis and KPI reporting.
Provide strategic financial insights and recommendations to senior leadership, guiding data-driven decisions across the business.
Analyze financial performance, identify trends, and recommend actions to improve profitability and mitigate risks.
Collaborate with department heads and business units to understand their financial needs and provide actionable insights.
Prepare financial analyses for senior management and other key stakeholders.
Requirements:
Bachelor's degree in Finance, Accounting, Economics, or a related field - A Must
4 years of experience in financial planning and analysis - A Must
Fluent English - A Must
Familiarity with financial statements (mostly P&L and Cash Flow) - A Must
Exceptional attention to detail
Ability to effectively leverage AI tools to support analysis, streamline workflows, and enhance output quality
Strong expertise in financial modeling, budgeting, and forecasting techniques
Excellent analytical skills, with the ability to translate data into actionable insights
Proficiency in financial software and tools (e.g., Google Sheets, Excel, ERP systems, BI tools, AI and automation)
Strong communication skills, with the ability to present complex financial data in a clear, concise manner to various stakeholders
Ability to meet deadlines and work under pressure
Experience working in leveraged companies - an advantage.
This position is open to all candidates.
 
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Location: Rehovot
Job Type: Full Time
we are seeking a strategic and hands-on FP&A Director to lead our financial planning and analysis. This role will be responsible for driving budgeting, forecasting, financial modeling, and performance analysis across the company.
The Director will operate at the center of business and financial planning, partnering closely with Business division leaders and cross-functional stakeholders to enable revenue growth, profitability, and execution of strategic priorities, while building and scaling best-in-class FP&A global team, processes, tools, and capabilities. Collaborate cross-functionally with Finance, Accounting, Sales, Operations, HR, and IT and Ensure consistency and discipline across business units, geographies, and functions
What will you be doing:
Own and drive the full Companys level FP&A cycle execution: budget, forecast, long-range planning, and monthly performance management
Translate strategic direction into structured, actionable financial plans
Manage, Lead and develop the Corporate HQ FP&A team, including employee development, performance management, and driving team effectiveness and results
Lead company-level P&L analysis, providing clear visibility into performance drivers and variances
Ensure strong alignment between FP&A outputs, accounting, and external reporting
Deliver clear and actionable insights on revenue, margins, and cost structure
Act as a senior financial business partner to executive corporate management with, supporting both strategic and operational decision-making
Act as a member of Global Business Division staff, partnering with CBO, Support in strategic initiatives, growth opportunities, and investment decisions
Ensure alignment between business strategy and financial plans across regions, products, and functions
Act as a trusted advisor to business leaders, providing insights that influence decision-making
Partner with Sales and Global Business to enhance visibility, improve forecast accuracy, and challenge assumptions
Support development and evaluation of top-line strategy, including new markets, products, and pricing
Oversee monthly, quarterly, and annual performance analysis
Build and maintain advanced financial models and scenario analyses
Support preparation of materials for senior leadership, board discussions, and investor-related activities
Lead implementation and optimization of planning and reporting systems ( Oracle Fusion, Hyperion, Workday, QS BI)
Drive improvement in data integrity, automation, and scalability of FP&A processes
Enhance reporting and analytical capabilities, including dashboards and decision-support tools
Requirements:
Bachelors degree in finance, Accounting, Economics, or related field (MBA / CPA - advantage)
10+ years of progressive experience in FP&A or Finance, including leadership roles - Must
Experience in a global, publicly traded company - Must
Proven ability to manage company-level P&L and drive financial performance
Strong understanding of financial reporting and accounting principles
Hands-on experience with financial systems (Oracle, Workday, Hyperion, or similar)
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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11/06/2026
חברה חסויה
Location: Be'er Sheva
Job Type: Full Time
We are seeking a rigorous, execution-focused, and experienced Senior Controller to drive operational excellence within our dynamic finance team, reporting to the VP of Finance. This role is designed for a proactive professional who values precision and works collaboratively to keep financial operations lean and scalable. The ideal candidate is an analytical, detail-driven professional who ensures financial accuracy while continually streamlining day-to-day operations.
If you enjoy building scalable, efficient financial processes in a fast-paced environment, you will thrive here.
Key Responsibilities
Closing Cycle: Accelerate and execute the global monthly closing processes (including journal entries, reconciliations, and analysis), ensuring precision under US GAAP while actively streamlining the time-to-close window.
Support Business KPIs: Collaborate closely with the team to track, analyze, and validate core business metrics and KPIs, ensuring financial data aligns cleanly with operational performance.
Compliance & Tax: Direct tax compliance, transfer pricing, and statutory reporting. Maintain seamless, efficient coordination with external accounting firms to ensure clean, timely filings.
Financial Reporting & Analysis: Prepare clear, comprehensive monthly, quarterly, and annual financial packages for senior management and stakeholders. Look beyond the raw numbers to highlight key trends, flag potential risks, and present actionable updates.
Internal Controls: Evaluate, implement, and maintain robust internal control systems. Focus on building lightweight, highly effective guardrails that safeguard assets without introducing unnecessary manual friction or bureaucracy.
Coordinate Audits: Efficiently manage internal and external audits, coordinating deliverables and addressing any findings or recommendations promptly to continuously improve financial operations.
Requirements:
Bachelors degree in Accounting, Finance, or a related field.
5+ years of progressive accounting experience with a proven track record within a fast-growing, international business structure.
Strong practical understanding of US GAAP, multi-currency financial reporting, and international regulatory compliance.
Excellent analytical skills, with a proven ability to translate complex financial data into clean, actionable models.
A forward-looking mindset that turns financial data into business insight, with comfort using automation and AI tools to streamline work.
High precision and focus on data integrity, balanced with strong operational speed and agility.
Outstanding communication and interpersonal skills, with the ability to collaborate effectively with diverse stakeholders.
Advanced proficiency in financial software.
Advantages
Big 4 background
CPA license
Experience with NetSuite and Salesforce is a plus.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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5 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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8633796
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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
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8665184
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Location: Petah Tikva
Job Type: Full Time
We are looking for a highly motivated, business-oriented, and hands-on Revenue & Billing Assistant Controller to join our growing finance team. This is not a classic back-office accounting role, but a position that combines accounting knowledge, operational ownership, and cross-functional collaboration.
In this role, you will work closely with customers and internal teams to manage end-to-end revenue and billing operations, including billing, revenue recognition, collections, COGS processes, and financial data accuracy within NetSuite - while continuously driving process improvements and operational efficiency across the organization.
We are the global leader in AI-powered sports video solutions, helping sports organizations in 70+ countries automatically produce and broadcast games using smart cameras, computer vision, and real-time highlights.
As part of your role, you will:
Manage ongoing communication with global customers regarding billing, collections, invoices, revenue-related matters, and operational follow-ups.
Take ownership of billing and revenue operational processes in NetSuite, ensuring accuracy and efficiency across the entire customer lifecycle.
Work closely with Sales, Operations, Customer Success, and Finance teams to support customer onboarding, contract flows, pricing updates, and operational implementations.
Support revenue recognition processes for SaaS and hardware activities, including data validations and reconciliations.
Assist in managing COGS-related operational processes and ensure financial-operational alignment across systems.
Monitor customer balances, follow up on open invoices, and help drive collection processes proactively.
Identify process gaps and continuously push improvements, automation initiatives, and operational efficiencies.
Analyze large datasets and transform operational information into clear financial insights.
Requirements:
CPA with Big 4 experience.
1-3 years of experience in accounting, revenue, billing, or assistant controller roles within a global tech company.
Strong understanding of revenue processes, billing cycles, collections, and financial controls.
Experience working with revenue recognition principles under US GAAP / ASC 606.
High proficiency in NetSuite and advanced Excel skills.
Strong business and operational orientation with the ability to work closely with customers and cross-functional teams.
Proactive, hands-on, and service-oriented personality with strong ownership, excellent communication skills, and the ability to drive processes forward independently.
Fluent English- written and verbal.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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עדכון קורות החיים לפני שליחה
8669068
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מודים לך שלקחת חלק בשיפור התוכן שלנו :)
2 ימים
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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8640011
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18/05/2026
חברה חסויה
Location: Holon
Job Type: Full Time
We are seeking an experienced Finance Director who combines deep expertise in accounting with strategic financial leadership. This role holds full responsibility for global financial reporting, accounting controls, and regulatory compliance, while driving financial planning, performance analysis, and supporting executive decision-making. The ideal candidate will serve as a bridge between operational accounting and strategic finance, ensuring accuracy, compliance, and business growth in a dynamic, international environment. The company, formerly publicly traded, is now privately held following an acquisition.



Key Responsibilities:
Lead and manage global finance and accounting teams, fostering process improvements and best practices.
Oversee all accounting and financial reporting processes in compliance with IFRS/US GAAP and local regulations.
Manage monthly, quarterly, and annual close processes, including preparation of audited financial statements.
Ensure robust internal controls and regulatory compliance across multiple jurisdictions.
Lead annual budgeting, forecasting, and financial performance analysis.
Support M&A activities and post-merger integration processes.
Design, plan, and implement global ERP systems (SAP/Oracle).
Serve as a strategic business partner to senior leadership, supporting executive decision-making.
Liaise with external auditors, consultants, and regulatory bodies.
Collaborate with the board, investors, and global stakeholders.
Partner with private equity owners to drive value creation, operational improvements, and strategic initiatives.
Prepare and present financial reports and analyses tailored to private equity stakeholders, including performance metrics, KPIs, and exit readiness.
Lead or support transformation projects, cost optimization, and post-acquisition integration.
Requirements:
Bachelors degree in Accounting, Finance, Economics, or Business Administration; CPA license strongly preferred.
MBA is an advantage.
8-10+ years of experience in accounting and finance roles, including at least 4 years in a senior leadership position within global, publicly traded or private equity-backed companies.
Full proficiency in international accounting standards (IFRS/US GAAP) and local regulations.
Proven experience managing international teams.
Experience in M&A, and ERP implementation.
Previous experience in SaaS (Software as a Service) companies.
Experience working with private equity sponsors or in a private equity-backed environment - strong advantage.
Ability to work in a global, multi-interface environment and manage multiple stakeholders.
This position is open to all candidates.
 
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הגשת מועמדותהגש מועמדות
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עדכון קורות החיים לפני שליחה
8656444
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03/06/2026
חברה חסויה
Location: Shoham
Job Type: Full Time
A Nasdaq-listed high-tech company operating in the fields of Defense, Drones and Cybersecurity, is looking for a high-potential, hands-on Controller to join its Finance team.
This role is ideal for a candidate with strong accounting foundations, looking to grow into a key finance position in a global public company environment.
The role combines financial reporting, budget control, and team management, with a strong emphasis on ownership, precision, and the use of advanced AI tools to drive efficiency and scalability.
Responsibilities:
Lead the preparation of quarterly, and annual financial statements
Oversee day-to-day accounting operations, including reconciliations, accruals, and provisions
Take ownership of financial reporting in a Nasdaq-listed company environment
Budget planning, control, and variance analysis
Work closely with external auditors and support audit processes
Ensure compliance with accounting standards, regulations, and internal controls
Support management reports and financial analysis
Drive process improvements and automation, with a strong focus on leveraging AI tools
Manage and oversee the bookkeeping and payroll teams
Reporting to: Finance Director.
Requirements:
CPA - must
Experience from a leading accounting firm (Big 4 or similar)
Strong hands-on experience with AI tools and ability to apply them to financial workflows - must
Strong understanding of financial statements and reporting processes (IFRS)
High level of accuracy, ownership, and attention to detail
Strong Excel skills
Fluent Hebrew and high-level English (written and spoken) - must
Advantages:
Experience in a finance / Controller role in industry (First role)
Experience in a public or Nasdaq-listed company
Experience managing or working closely with accounting teams
Experience with ERP systems (Priority).
This position is open to all candidates.
 
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8679251
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סגור
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תודה על שיתוף הפעולה
מודים לך שלקחת חלק בשיפור התוכן שלנו :)
חברה חסויה
Location: Netanya
Job Type: Full Time and Hybrid work
We are looking for a motivated and detail-oriented FP&A Analyst to join our growing finance team.
Youll be part of a collaborative group of 5 analysts, delivering key financial insights, supporting budgeting and forecasting, and helping drive strategic decisions across the company.
Responsibilities
Support the annual budgeting and financial forecasting processes.
Assist with month-end close activities, ensuring accuracy and completeness of financial reports.
Provide ongoing financial support and analysis for various teams, projects, customer transactions, and strategic initiatives.
Build ad-hoc financial models, reports, and analysis as needed.
Monitor and analyze key performance indicators (KPIs), identifying trends and explaining variances.
Collaborate with the finance team and department heads to deliver data-driven insights that support decision-making.
Be proactive - identify opportunities for process improvements and bring forward your own ideas and initiatives.
Requirements:
Bachelors degree in Accounting, Economics, Finance, or a related field
1-3 years of experience in FP&A, financial consulting, or a similar analytical role
Fluent English - written and verbal
Strong Excel skills and comfort working with large datasets
Strong analytical thinking and attention to detail
High standards of accuracy, precision, and professionalism
Ability to meet deadlines and perform well under pressure
Strong sense of ownership - ability to work independently, take initiative, and drive things to completion
Experience in financial analysis, executive presentations and building complex financial models - Advantage
Experience with daily use of AI tools and the ability to integrate them into work - Advantage.
This position is open to all candidates.
 
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8697291
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