Finance Analyst
SCRYPT provides institutional digital asset infrastructure for trading, custody, stablecoin settlement, and asset management. It serves banks, asset managers, brokers, fintechs, payment providers, family offices, commodity traders, and crypto organizations.
Funding history
About SCRYPT
SCRYPT operates a full-stack institutional digital asset platform combining 24/7 spot, OTC, and FX execution; VQF-supervised MPC custody; stablecoin rails for cross-border settlement, treasury operations, and on/off-ramp services; and FINMA-licensed portfolio management. Its offerings are designed for institutional clients that need regulated access to digital asset markets, secure custody, stablecoin settlement, and yield strategies. SCRYPT serves banks, family offices, asset managers, brokers, OTC desks, commodity traders, fintechs, payment providers, tokens, DAOs, and foundations globally.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will manage the full invoice-to-ledger cycle and maintain audit-ready accounting records. You will process invoices, reconcile accounts, support treasury activities, prepare audit materials, and deliver monthly management reporting in a multi-currency environment.
Requirements
- 2 to 3 years of finance, accounting, or audit experience
- Knowledge of Abacus or equivalent bookkeeping software
- Experience using AI models in daily workflows
- Strong reconciliation and Excel skills
- ERP or accounting-system fluency
- Knowledge of Swiss GAAP or CO
- Fluent English
- Swiss work authorization or EU/EFTA nationality
Responsibilities
- Process incoming invoices, including validation, coding, approval routing, and payment scheduling
- Reconcile bank accounts to invoices
- Maintain supplier records, payment terms, and invoice tracking
- Maintain the general ledger across entities
- Run month-end close activities
- Keep books audit-ready under Swiss retention requirements
- Prepare audit packs and respond to auditor queries
- Track and close audit findings
- Monitor cash positions and prepare payment runs
- Maintain cash forecasts
- Produce monthly management accounts and variance commentary
- Support board and investor reporting
Benefits
- Meaningful equity
