Team8 Financial Controller - Portfolio Startups
Team8.com
Office
Yafo, Tel Aviv District, IL
Full Time
Description
Team8, the world’s leading company-building platform, is looking for a hands-on, dynamic, and business-oriented Financial Controller to join our finance team.
This is not your typical Controller role - beyond managing numbers, you’ll have a unique opportunity to partner closely with founders from the very first day of their journey, helping build the financial foundation of our portfolio companies and supporting their growth every step of the way.
This role reports directly to the Director of Finance.
Key Responsibilities:
- Establish and support financial infrastructure in portfolio companies
- Perform monthly and quarterly closings
- Prepare annual budgets and monitor budget vs. actual performance
- Generate financial reports and provide variance analysis
- Prepare consolidated and standalone financial statements
- Oversee cash flow management and payment processes
- Ensure compliance and timely submission of tax reports in Israel and the U.S.
- Manage and optimize financial processes across all portfolio companies
What You’Ll Do
- Work hand-in-hand with founders from company inception through growth - including setting up entities, opening bank accounts, registering with tax authorities, and managing all financial aspects of early operations.
- Establish and support financial infrastructure in portfolio companies.
- Perform monthly and quarterly closings and prepare annual budgets while monitoring budget vs. actual performance.
- Build and present financial reports and provide actionable variance analysis to founders and management.
- Prepare consolidated and standalone financial statements.
- Oversee cash flow management and payment processes.
- Ensure compliance and timely submission of tax reports in Israel and the U.S.
- Support strategic financial decisions such as budget planning, debt strategy, and funding readiness for the next financing rounds.
- Collaborate daily with CEOs and management teams in portfolio companies, providing ongoing financial guidance and strategic insights.
- Lead all aspects of the financial reporting process (monthly, quarterly, annual) with accuracy and attention to detail.
- Manage external audit relationships and oversee annual audits.
- Drive continuous improvement and automation across financial processes and systems.
Requirements
- C.P.A.
- Experienced in an audit of global Hi-Tech companies/ high-growth start-up environment/ VC- Mandatory.
- Two years minimum experience as a controller or assistance controller.
- High proficiency in English.
- Working knowledge of MS Office (especially Excel).
- Leading projects capabilities and analytical abilities.
- Analytical mindset and strong communication skills, especially when it comes to explaining financial information to diverse constituencies.
- Experience in working with multiple legal entities under different legal umbrellas.
- Overall track record of professional and academic success.
