Key Responsibilities
- Prepare monthly, quarterly, and annual financial statements in accordance with US-GAAP (P&L, B/S, CF, operating cash flow, headcount, revenues reporting etc.)
- Conduct and manage month-end closing procedures to ensure timely and accurate financial reporting (including review of accruals, analytic reports, budget vs. actual etc.)
- Oversee the billing cycle, including revenue recognition, invoicing and collections (managing outsource AR team)
- Prepare tax reports for the Israeli entity, including tax filings and other required regulatory reporting
- Review payroll and expense reports working with our local payroll accountants.
- Cash flow control including billing, collection, payments to vendors, and ongoing communication with banks.
- Liaise with external auditors, banks, and third-party vendors for audits, financial reviews, and other compliance-related activities
- Manage and provide professional support to bookkeeper activities to ensure proper alignment with accounting standards and business goals
- Take on special financial projects and tasks as they arise to support the finance team and business needs
Requirements
- 2+ years’ experience in a global start-up company -MUST
- CPA experience from a large accounting firm (Big 4) – MUST
- Previous experience with NetSuite – MUST
- Excellent Microsoft Excel skills – MUST
- Thorough knowledge of accounting principles and procedures
- Fluent verbal and written English skills
- Highly accountable person
- Ability to prioritize and complete varied tasks within tight deadlines
What We Offer:
- Competitive salary and benefits package.
- Hybrid work model: 3 days in-office, 2 days remote.
- Opportunity to work with a talented and passionate team.
- A culture that values work-life balance and supports team members’ well-being.
Join us and be a part of our exciting journey to innovate and transform the field of network optimization!