Profitian provides B2B financial partnership solutions tailored to the startup and high-tech ecosystem. As a Controller, you’ll join a team dedicated to in-house financial expert consultancy focusing on growth and success through active engagement with company decision-makers. Using cutting-edge technology, we streamline accounting, CFO services, bookkeeping, payroll, and administrative processes. Enjoy a flexible hybrid work environment with an amazing team that feels like family.
About the Role
We are looking for an experienced Controller to join our finance team and take full ownership of financial processes across the company. This is a strategic and hands-on role for someone who not only understands accounting but also sees the big picture and thrives in a dynamic, fast-paced environment.
The ideal candidate is independent, structured, and business-oriented, with a strong ability to both lead and execute. You’ll have a key role in ensuring financial clarity, supporting decision-making, and shaping scalable processes as we grow.
Key Responsibilities
- Own and lead the end-to-end financial close process, ensuring timely and accurate monthly, quarterly, and annual reporting.
- Develop and maintain robust financial processes and internal controls across functions.
- Partner with the CFO and business leaders to translate data into insights, driving smarter financial decisions.
- Manage relationships with external stakeholders including auditors, tax advisors, and banks.
- Oversee budgeting, forecasting, and variance analysis processes.
- Ensure full compliance with local regulations and tax requirements.
Requirements:
- CPA with Big 4 experience – Must
- Bachelor’s degree in accounting – Must
- Master’s degree - Advantage
- Attention to detail and ability to multitask.
- CPA-qualified or equivalent with 5+ years of experience, including at least 2 years as a Controller or in a senior finance role.
- Proven experience in owning and managing financial processes.
- Strong understanding of financial systems, reporting, and accounting standards (IFRS/GAAP).
- Business-savvy mindset with an ability to connect financial data to strategic decisions.
- Comfortable working independently in a fast-moving startup or scale-up environment.
- Experience in budgeting and forecasting – Advantage
- Experience in a tech, medical device, or growth-stage company. - Advantage
- Hands-on experience with ERP systems (e.g., NetSuite, Priority, SAP). - Advantage
- Strong analytical and Excel / modelling skills. - Advantage
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