Bucharest, Bucharest, Romania
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• Financial Strategy & Oversight: Leading the Group’s overall financial strategy, ensuring consistency and alignment across multiple entities and business units. • Accounting & Reporting: Implementing unified accounting frameworks under IFRS, managing month-end closings, and establishing standardized management reporting packs. • Tax & Compliance: Overseeing corporate tax registrations, returns, and annual financial filings across jurisdictions, ensuring full regulatory compliance. • Entity Liquidation & Restructuring: Managing company wind-downs and restructurings, coordinating accounting closure, tax deregistration, and final financial reporting to regulatory authorities. • Financial Planning & Analysis: Building forecast and budgeting models, performing variance analysis, and preparing consolidated reports for board and executive review. • Treasury & Liquidity Management: Managing treasury operations, cash forecasting, and intercompany fund flows to ensure adequate liquidity and operational efficiency. • Process Optimization: Designing and enforcing internal financial procedures for payroll, contractor payments, and cross-BU cost allocation. • Crypto Accounting & Automation: Integrating crypto and fiat accounting systems using Entendre Finance, Xero, and Request Finance for accurate and automated reconciliation. • Operational Support: Coordinating accounting transitions, ledger migrations, and ongoing improvements to the Group’s internal financial infrastructure. • Business Unit Partnership: Collaborating with BU leads in Market Making, Marketing, Product Development, and Community Management to ensure financial visibility and control. • Governance & Strategic Advisory: Supporting the executive team and board with financial insights, risk assessments, and policy development to drive sustainable growth.
• Management Reporting: Designing management reporting frameworks for directors and communities, preparing quarterly reports based on financial KPIs. • Strategic Advisory: Offering ongoing advice on strategic decisions, financial updates, and significant events that may impact the business. • Runway Reporting: Developing cash flow-based runway reports and delivering quarterly updates to aid in financial planning. • Financial Planning & Analysis: Crafting forecast models, preparing quarterly financial performance reports, and conducting variance analysis to ensure alignment with business targets. • Accounts Payable Support: Managing simple accounts payable processes, tracking payments against approved budgets, and assisting with payment execution. • Business Understanding: Leading workshops to deeply understand client business models, tokenomics, and financial operations, including governance, transaction flows, and procurement processes. • Data Structuring: Advising on data gathering methods, data consolidation, and structuring financial data to facilitate accurate reporting. • Annual Financial Reporting: Assisting with the preparation of annual financial reports in line.
Extracting and reconciling financial data from multiple sources, including ERP, internal databases, blockchains and spreadsheets. Ensuring data accuracy by performing detailed analysis and researching and resolving exceptions by providing scalable solutions to stop occurrences. Developing a comprehensive understanding of the processes that currently exist and how to automate them for the future and integrate into the ERP. Developing a deep understanding of the companies data schemas and data models to automate accounting reporting and reconciliations. Collaborating with cross-functional teams (ex. Engineering, Data Engineering, Data Analytics, Treasury, Compliance, etc.) to understand business requirements and develop solutions to address reporting and reconciliation automation, including internal tool development and/or implementation of third party tools. Developing and maintaining documentation of reconciliation processes and procedures. Preparing and delivering regular reports on automation and financial data reconciliation activities to management Providing insights and recommendations to management based on data analysis Working cross functionally with the financial systems to leverage automated tools/data to automate JE postings into ERP. Partnering with product and operation teams to make sure launches have appropriate automation for scale. Performing other ad-hoc projects as needed Give advice in the following matters: General advice regarding crypto assets and token-based business models. Differentiation between private asset management and business activities. Advice on tax residency issues, domicile decision as well as international tax segregation issues Offer professional and creative cryptocurrency tax advice and guidance for blockchain-based businesses and individuals. Deep understanding of the crypto market. Make tax planning, strategy and implementation a seamless endeavor.
- Responsibility for closing the financial books for multiple legal entities - Support the day to day accounting requirements - Balance sheet account review and reconciliations and preparation of associated BS notes - Control and preparation of general ledger entries including prepaid, accruals, allocations, etc. - Responsibility for coordination and execution of Internal and External Audit requirements. - Provide in depth financial analysis of profit and loss and/or balance sheet accounts, including other non-financial metrics accounts. - Analyzing actual results to reconcile financial accounts, taking responsibility for all balances and resolution of queries. - Ensures compliance with Company and SOX policie. - Liaison with Divisional personnel around the world on financial analysis. - Coordinating, generating, reviewing and distributing standard reports such as monthly financial analysis. - Ad Hoc reporting, analysis or projects as required. - Fulfill any task assigned by the direct supervisor in accordance with the professional experience and area of expertise.