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Assistant Controller

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LayerZero

LayerZero enables applications to move data and assets across blockchains through secure message passing with configurable security models.

Series BRecently funded6 current maintainers4 active leads3 new active leads6 lead step-downs3 early lead departuresTeam intelligence

Maintainer signals as of 8/20/2026

C/O SHRM Trustees (BVI) Limited, Trinity Chambers, PO Box 4301, Road Town, Tortola, VG1110, British Virgin Islands, Virgin Islands, British
About LayerZero

LayerZero helps developers build applications that communicate across blockchains through omnichain messaging infrastructure. Using immutable smart contracts deployed on each supported chain, the protocol sends and receives messages between networks with censorship-resistant delivery. Developers can configure security through Decentralized Verifier Networks and independent Executors, supporting cross-chain state transitions, token transfers, and composable application logic across EVM and non-EVM chains.

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Skills

About the Role

You will own day-to-day accounting operations and drive the monthly, quarterly, and annual close. You will maintain the general ledger in NetSuite, prepare journal entries and reconciliations, manage accounts payable and receivable workflows, and partner with payroll providers. You will account for token activity and reconcile on-chain activity to the books, support tax, audit, and compliance requests, document controls, and improve accounting processes.

Requirements

  • 5–8+ years of accounting experience including public accounting and in-house roles
  • Experience with NetSuite and month-end close in a multi-entity environment
  • Hands-on experience with finance tools such as Ramp or similar
  • Experience with payroll providers such as ADP or similar
  • Solid understanding of US GAAP and balance sheet accounting
  • CPA preferred
  • Comfortable operating in high-growth ambiguous environments
  • Detail oriented and highly organized
  • Clear communicator able to explain accounting concepts to non finance stakeholders

Responsibilities

  • Execute and improve monthly quarterly and annual close processes
  • Maintain the general ledger in NetSuite including journal entries accruals prepaids and intercompany activity
  • Reconcile bank accounts corporate cards payroll and other balance sheet accounts
  • Manage accounts payable and accounts receivable workflows including vendor onboarding invoice processing and payment runs
  • Partner with payroll providers to ensure accurate payroll benefits bonus and equity accounting
  • Maintain clean subledgers and supporting schedules that tie to the GL
  • Account for token activity and reconcile on-chain activity to the general ledger
  • Support crypto specific accounting workflows and reconciliations
  • Coordinate with external specialists on digital asset accounting matters
  • Prepare schedules documentation and reconciliations to support corporate tax filings
  • Support external tax audit and advisory firms for audits reviews and special projects
  • Ensure accounting policies and procedures align with US GAAP
  • Document accounting processes and controls and design scalable workflows
  • Identify gaps risks and inefficiencies and implement improved controls