Key responsibilities including but not limited to:
• provide overall leadership and direction to finance departments in Israel and in Europe.
• review and analyse monthly closing reports submission from the local finance teams .
drive and lead various ad hoc projects/exercises including annual budget/ forecast, feasibility studies and special investor / banking related projects.
• To liaise with auditors, bankers, lawyers, and relevant authorities across the region on major strategic issues.
• regional tax planning and issues as well as internal control.
• To oversee the treasury and cashflow functions and controls, in particular Accounts Receivable management.
Requirements:
• Possess a degree in accountancy or equivalent and CPA qualification.
• At least 5 years of relevant experience in management position which have at least 3 years of consolidated experience in a commercial corporate organization. Prior auditing experience with Big 4 accounting firms will be advantageous.
• Experience in a regional company with business operations in Europe is preferred.
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