This position is multifaceted requiring strong analytical abilities, strong attention to detail with ability to understand and visualize the big picture and executive needs. Day-to-day operations include managing the financial matters of the company including all affiliates and activities in Israel, Europe and the US, financial planning & analytics, and financial oversight.
We offer a versatile, energetic, and collaborative work atmosphere. If you are comfortable with ambiguity, a rapidly changing environment, and a very hands-on approach and have vision on how to manage and develop financial planning and operations, then we would be delighted to hear from you.
Roles and Responsibilities:
Management of day-to-day financial matters of the company: accounts payable, payroll, cash flow, FP&A, as well as banking transactions and management of external bookkeepers
Working with the company’s COO:
Prepare company’s monthly financial updates to the BOD, as well as quarterly and annual financial statements and tax filings, including interaction with external auditors
Prepare and track the company’s budget, including reports and financial analysis for management
Prepare and manage other aspects of financial planning and operations e.g. tax evaluations, insurance policies
Develop and implement financial control policies
Support company’s vendor negotiations and management e.g. obtain and maintain financial benchmarks, financial oversight
Time commitment:
Full time position; flexible schedule (requires calls with Europe and North America).
Travel expectation:
May require occasional travel to Europe/US
Qualifications:
Certified Public Accountant
Graduate of one of the big 4 accounting firms
3+ years of working experience as assistant controller / controller in the finance department (of a NASDAQ traded company/ global environment – advantage)
Experience in working in a US GAAP / IFRS environment – must
Experience in pharma / biotech / medical device companies – advantage
Excellent English (written and spoken, including ability to produce documents without external editing) – must
Exceptional skills in MS Excel and PowerPoint a must.
Skills & Experience:
Demonstrated ability to effectively conceptualize, visualize and convey financial matters to financial and non-financial executives
Familiarity and comfort working with, adopting and setting up various financial systems and programs
Ability to work at multiple levels – strategic and d