Financial Controller
Skills
Hr AdministrationProgrammingQuickbooksUs GaapIntercompany AccountingTransfer PricingXeroInternational TaxContract ReviewVendor OnboardingOrganizationPayrollIt SystemsProblem SolvingLlmOn-ChainReconciliationAccounts PayableAccountingIfrsConsolidationAnalysisEnglishGoogle SheetsCommunicationTaxFinancial ReportingKycTax ComplianceVariance AnalysisBankingExcelIntercompany Reconciliations
About the Role
You will own consolidated reporting across fiat and on-chain activity and prepare monthly and consolidated financial statements with variance analysis. You will manage intercompany billings, reconciliations, transfer pricing, and ensure compliance with accounting standards and tax regulations across multiple jurisdictions. You will oversee payroll, accounts payable, vendor onboarding, banking and KYC processes, support operations including contract review and HR administration, and perform ad hoc analysis and projects as requested.
Requirements
- Bachelor’s degree or higher in Accounting Finance or Business Administration
- Professional accounting certification preferred
- 5+ years of experience in accounting or finance roles ideally as a Controller or Accounting Manager
- Fluency in English
- Strong knowledge of US GAAP IFRS and US and international tax standards
- Proficiency with Excel Google Sheets and accounting software such as QuickBooks or Xero
- Exceptional communication organizational and problem-solving skills
- Ability to work independently meet deadlines and thrive in a fast-paced environment
- Willingness to be available on occasional late evenings or weekends as needed
- Nice to have Experience living abroad
- Nice to have Programming skills
- Nice to have Advanced skills in using LLMs
Responsibilities
- Prepare monthly financial statements for multiple entities and consolidated financial statements including variance analysis
- Manage intercompany billings, reconciliations, and transfer pricing documentation
- Ensure compliance with accounting standards, tax regulations, and financial reporting requirements in multiple jurisdictions
- Coordinate and oversee tax filings across jurisdictions with external tax advisors
- Oversee global payroll processes
- Manage accounts payable, vendor onboarding, and expense control
- Maintain banking relationships, monitor accounts, and ensure KYC compliance
- Support general operations including contract review, HR administration, and coordination of IT systems
- Conduct ad hoc analysis and special projects as requested by leadership
