Assisting the team with the production of monthly management accounts in line with the group reporting timetable and the deadlines at an entity level.
Assistance with the preparation of periodic financial statements, including profit and loss accounts, budgets, cash flows, forecasts, variance analysis and commentaries.
Treasury management, responsible for preparing reconciliations of daily settlements, to be reviewed by the team.
Business partnering with non-financial managers and stakeholders.
Monitoring and evaluating financial information systems and suggesting improvements where needed.
Liaising with senior members of the team and group to gain exposure and assist with implementing corporate governance procedures, risk management and internal controls.
Assisting with monthly balance sheet reconciliations, ability to prepare and investigate variances.
Intercompany reconciliations assisting and liaising with group counterparties.
Creating invoices and taking responsibility for overseeing accounts receivables.
Taking the initiative to support the team in ad-hoc projects.
Prepared to be involved with audit-related queries and assist the team where necessary.
Hybrid working environment - collaborating across teams and different group companies.
Required Knowledge, Skills, and Abilities
Excellent communication skills.
Inquisitive and innovative; helping the team to drive improvements through efficiency.
Ability to work autonomously and as part of a team.
Professional demeanor and highly ethical.
Driven to learn and develop technical knowledge.
Achieved/working towards a recognized accounting qualification (CIMA/ACCA/ACA).
Experience working within cryptocurrency, brokerage exchange, fintech or financial services or comparable company environment is desirable.