Assist with the monthly, quarterly and annual consolidated financial statement in accordance with US GAAP.
Treasury management – tracking the balances of the company in banks, investments, and crypto assets.
Budgetary control – assisting with tracking of the actual vs budget and budgeting process.
Responsibility for month-end closing procedures.
Working hands-on with Israeli and foreign bookkeepers and payroll controllers on day-to-day financial operations, including payroll, AP, and AR processes.
Equity management – assisting with management of the company’s ESOP, cap table, and investor relations.
Working hands-on and managing payments operations and helping ensure money movement is well tracked throughout our different products.
Assisting in improving, developing, and documenting accounting and finance-related policies, procedures, and internal controls (such as T&E, procurement etc.)
Manage and comply with local, state, and federal government reporting requirements and tax filings.
Interface with local and foreign consulting and audit firms.