Job Description

Summary

The F&A team comprises multiple functions from Financials Control & Business Performance Management, Procurement, Digital Transformation, Tax, Treasury and Operations. Together, the team optimizes our global finance initiatives and enjoys being detailed-oriented while multitasking across various exciting project scopes

Responsibilities

  1. Responsible for month-end closing and prepare monthly reports including monthly consolidated financial statements, cash flow statements and management reporting.
  2. Analyze financial information to provide accurate and timely consolidated financial reports to management for decision-making purposes
  3. Lead the team to achieve financial reporting deadlines and to ensure effective internal control policies and procedures are in place
  4. Assist in development and implementation of best practice financial processes and procedures
  5. Support implementation of financial systems, reports and uphold business projects
  6. Work collaboratively with various internal parties in the region to acquire or provide information needed for analysis, reporting, budgeting and forecasting.
  7. Liaison with both internal and external parties
  8. Handle ad hoc tasks as assigned

Requirements

  1. B.S. or B.A. in accounting, finance, economics, business required; advanced degrees, including CPA a plus
  2. Minimum 5+ years professional work experience in accounting and/or consolidation; audit experience a plus
  3. Advanced Excel and financial modelling experience
  4. Excellent analytical, project management, presentation and interpersonal skills.
  5. Extremely detail oriented with an ability to multitask in a high growth environment
  6. Passionate about start-ups and the growth of digital assets
  7. Good command of spoken and written English

Skills
  • Accounting
  • Communications Skills
  • Financial Modeling
  • Leadership
  • Team Collaboration
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