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
- Responsible for month-end closing and prepare monthly reports including monthly consolidated financial statements, cash flow statements and management reporting.
- Analyze financial information to provide accurate and timely consolidated financial reports to management for decision-making purposes
- Lead the team to achieve financial reporting deadlines and to ensure effective internal control policies and procedures are in place
- Assist in development and implementation of best practice financial processes and procedures
- Support implementation of financial systems, reports and uphold business projects
- Work collaboratively with various internal parties in the region to acquire or provide information needed for analysis, reporting, budgeting and forecasting.
- Liaison with both internal and external parties
- Handle ad hoc tasks as assigned
Requirements
- B.S. or B.A. in accounting, finance, economics, business required; advanced degrees, including CPA a plus
- Minimum 5+ years professional work experience in accounting and/or consolidation; audit experience a plus
- Advanced Excel and financial modelling experience
- Excellent analytical, project management, presentation and interpersonal skills.
- Extremely detail oriented with an ability to multitask in a high growth environment
- Passionate about start-ups and the growth of digital assets
- Good command of spoken and written English
Skills
- Accounting
- Communications Skills
- Financial Modeling
- Leadership
- Team Collaboration