Responsibilities
Support the monthly financial close process, ensuring compliance with US GAAP, including accounts reconciliation, review of journal entries, flux analyses, and other ad hoc corporate requirements.
Own and improve reconciliation processes (bank, intercompany, credit cards, commissions, claims, balance sheet).
Assist with financial reporting, supporting schedules, and internal controls.
Help manage NetSuite, integrations, and automation initiatives to reduce manual work.
Partner with Ops, BD, CX, and Data on finance-related workflows.
Manage and execute regulatory tax reporting and Transfer Pricing compliance for both US and Israeli operations.
Lead efforts to improve, develop, and document accounting policies, procedures, and internal controls.
2-4+ years of accounting experience in the Tech industry – Must
Strong US GAAP knowledge
Experience with NetSuite and financial integrations (advantage)
Excellent attention to detail, organization, and problem-solving skills
Comfortable working in a fast-paced, high-growth environment
Big 4 experience is a plus
Fluent in English

















