Bookkeeper
WaveBL provides a blockchain-based electronic trade-document platform centered on electronic bills of lading. It serves freight forwarders, cargo owners, ocean carriers, banks, and customs authorities with secure document transfer, verification, and trade-document management.
Funding history
Projects
About WaveBL
WaveBL operates a blockchain-based platform for managing and transferring electronic bills of lading and other trade documents. Its Digital Hub stores and extracts data from documents, supports automated document generation, search, error detection, compliance verification, and tracking. The platform uses peer-to-peer transfer, encryption, digital signatures, anonymization, and a distributed ledger to protect document authenticity, integrity, confidentiality, and transferability. WaveBL markets its solutions to freight forwarders, beneficial cargo owners, ocean carriers, banking institutions, and customs authorities.
Skills
About the Role
You will manage monthly Israeli payroll, prepare payroll tax filings, and handle employee onboarding and termination procedures. You will coordinate international payroll data with PEO/EOR providers, maintain financial records in Priority and QuickBooks Online, process vendor invoices, reconcile accounts, and support month-end close and tax reporting.
Requirements
- Certified Bookkeeper Type 2 or 3
- Hands-on experience with Priority and QuickBooks Online
- 5+ years of bookkeeping and payroll experience within a global high-tech company
- Native-level Hebrew
- Professional English proficiency
- Microsoft Excel proficiency, including VLOOKUP and Pivot Tables
Responsibilities
- Run monthly payroll processing for Israeli employees
- Prepare and submit monthly and annual payroll tax filings
- Handle employee onboarding and termination procedures, including severance and Form 161
- Coordinate and reconcile international payroll data with PEO/EOR providers
- Maintain financial records using Priority and QuickBooks Online
- Process vendor invoices and manage vendor payment cycles
- Perform daily and month-end reconciliations for banks, credit cards, and intercompany balances
- Support month-end closing procedures and file VAT and tax withholding reports
