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Head Bookkeeper

On-site, Hybrid
  • Tel Aviv, Tel Aviv, Israel
Finance

Job description

We are looking for a highly motivated skilled and independent Head Bookkeeper to lead our

bookkeeping department.

Our ideal candidate is passionate about maintaining financial accuracy and adept at working

with numbers, with a talent for overseeing financial operations with hands-on

responsibilities. The Bookkeeper will be responsible for the daily accounting duties and

financial transactions in our IL books.

With a proven track record in the high-tech industry. This position involves recording financial

transactions, managing accounting software, invoicing, tax payments, and overseeing daily

bank reconciliations and cash payments.

As part of your role, you will:

1. Lead the bookkeeping department in Israel.

2. Manage and perform the A/P and A/R processes.

3. Record and reconcile GL financial transactions up till trial balance responsibility.

4. Play a key role in the monthly closing process including preparation of cut-off journal

entries, account reconciliations and related analyses for balance sheet and income

statement accounts.

5. Cash flow management.

6. Handle tax withholding and reporting requirements: VAT filings, 856,126 etc.

7. Communication with auditors, banks and the various authorities.

8. Manage the payroll process end to end, and maintain ongoing controls, while

maintaining standardized payroll processes.

9. Main focal point for employees and external stakeholders for payroll-related queries

10. Manage employee attendance, while taking responsibility for the attendance system

11. Assist with ad-hoc projects, including payroll software replacement, system

integrations and automation.

Qualifications:


Job requirements

Qualifications:

1. Certified bookkeeper (Type 3).

2. 10+ years of proven experience managing all bookkeeping aspects in a fast-paced

working environment with tight deadlines.

3. Payroll accountant with extensive experience.

4. Experience with multicurrency accounts payable/receivables management and bank

account reconciliations in a global environment.

5. Managerial experience.

6. Experience in Priority.

7. Advanced Microsoft Excel skills

8. Previous experience in high-tech companies.

9. Excellent English (native speaking level).

Preferred:

10. Experience working with NetSuite ERP system.

11. Strong analytical skills.

12. Immediate availability – Advantage

13. Attention to detail and a commitment to maintaining financial accuracy.

14. Ability to collaborate across teams.

On-site, Hybrid
  • Tel Aviv, Israel
Finance

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