Bookkeeper - temporary position (Herzliya)
Core
Manage daily accounting duties and financial transactions for Israel (IL) books, including AP cycle, expense reimbursements, bank reconciliations, and audit support.
Role type
Bookkeeper
Builds
Financial records and reports for the Israel entity
Domain
Finance / Accounting
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
NetSuite, AP cycle management, expense reimbursement processing, bank reconciliation, Excel, audit support
Preferred skills
Global high-tech company experience, DOKKA/MESH experience
Technologies
NetSuite, Excel
Responsibilities
Manage AP cycle including PO authorization, invoice recording, and vendor payments; Review and approve employee expense reimbursements; Track bank accounts and prepare reconciliations; Support quarterly and annual audits; Execute ad-hoc projects
Seniority
Junior to Mid-level