Head of Finance

AI overview

Collaborate with a passionate team to transform financial operations and reporting within an innovative AI startup, while shaping key operational processes to enhance performance.

About Us

REAL is building an AI Execution Platform for real estate organizations. Today, the data required to run real estate is scattered across PDFs, spreadsheets, emails, drawings, public records, and disconnected systems, leading to preventable leakage, missed obligations and lost opportunities to improve performance.

Used by leading enterprises, REAL converts this fragmented data into connected intelligence and automated action. With advanced AI, universal ingestion, and modular execution agents, REAL increases operational accuracy, uncovers financial discrepancies, and surfaces opportunities to optimize performance and enhance business outcomes.

About the Role

We value creativity, collaboration, and a hands-on approach , and we’re looking for a CPA (Big 4 experience preferred) to join us. This role covers financial control, reporting, compliance, and core operations, and is ideal for someone who’s detail-oriented, process-driven, and eager to grow beyond traditional finance into business and operations.

Key Responsibilities

Financial Management & Reporting

  • Lead the consolidation of financial reports, including preparing and booking consolidation entries.
  • Prepare monthly, quarterly, and annual financial statements and management reports.
  • Analyze financial data to identify trends, risks, and opportunities, providing actionable insights for decision-making.
  • Oversee budget creation, tracking, and variance analysis, ensuring alignment with company goals.
  • Prepare tax and management reports, ensuring accuracy and compliance with regulations.
  • Maintain and improve internal financial controls and reporting processes.

Operations & Compliance

  • Manage SOC 1, SOC 2, and ISO processes and ensure audit readiness.
  • Oversee payroll and invoice management, ensuring accuracy and timely execution.
  • Lead vendor negotiations and manage supplier relationships to optimize costs and efficiency.
  • Manage office operations, including contracts, vendors, and daily logistics.
  • Support cross-functional projects that improve operational efficiency and scalability.

Requirements

  • Fluent in English - reading, writing, and speaking.
  • CPA with a minimum of 8-10 years of experience, preferably from a Big 4 firm.
  • Strong knowledge of consolidation, financial reporting, and internal controls.
  • Advanced proficiency in Excel and familiarity with financial and accounting systems.
  • Excellent analytical and problem-solving skills, with a keen eye for detail.
  • Strong communication skills and fluency in English (Hebrew a plus).
  • Proactive, business-oriented mindset with the ability to think outside the box and take initiative.

Why Join Us

  • Be part of a fast-growing, innovative startup in a space ripe for disruption.
  • Work alongside a talented, passionate team building something meaningful.
  • Opportunity to expand your impact beyond finance and shape key operational processes.
  • Fun, collaborative, and creative work environment where new ideas are always welcome.
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