We are looking for a Financial Manager who will be responsible for financial planning, budgeting, reporting, and operational finance across multiple business units.
This role requires a strong analytical mindset, attention to detail, and the ability to work closely with leadership to support strategic and operational decision-making.
You will work across finance, operations, product, and management teams to ensure financial transparency and efficient resource allocation.
Responsibilities:
Financial Reporting & Accounting
- Prepare monthly, quarterly, and annual management reporting for the assigned business perimeter
- Coordinate month-end close activities in NetSuite, including AP, AR, payroll, and general ledger processes
- Ensure accurate accounting and reconciliation of mining revenue
- Support external audits and coordinate with local accounting and tax advisors
Tax & Compliance
- Support US Sales & Use Tax and B&O Tax reporting processes
- Assist with Corporate Income Tax compliance and tax-related reporting
- Coordinate payroll tax compliance across relevant jurisdictions
- Partner with the US CFO during month-end and year-end close activities
Budget Control & Cost Management
- Monitor departmental budgets, spending, and financial performance
- Identify cost optimization opportunities and improve operational efficiency
- Oversee vendor payments, contract management, and recurring expenses
- Support expenditure approval and financial control processes
Treasury & Cash Flow Management
- Manage payment requests and financial operations through NetSuite
- Support liquidity planning, cash flow forecasting, and payment scheduling
- Coordinate closely with accounting and treasury teams to ensure smooth financial operations
Business Partnership
- Partner with business leaders to support planning, decision-making, and operational initiatives
- Provide financial support for US operations, including documentation and compliance requirements
- Deliver ad hoc financial analysis, forecasting, and scenario modeling to support strategic decisions
Requirements
- 3+ years of experience in Finance, FP&A, Corporate Finance, Financial Control, or a similar role
- Solid understanding of US taxation, financial reporting, and business operations
- Experience in the cryptocurrency, digital assets, mining, fintech, or technology sector is highly preferred
- Strong knowledge of budgeting, cash flow management, forecasting, and financial planning
- Advanced Excel and/or Google Sheets skills, including financial modeling and data analysis
- Hands-on experience with ERP systems such as NetSuite, Odoo, QuickBooks, or Xero
- Experience preparing management reports and supporting month-end close processes
- Strong analytical mindset with excellent attention to detail and problem-solving skills
- Ability to work independently, prioritize multiple tasks, and meet deadlines in a fast-paced environment
- Excellent communication and stakeholder management skills
- Professional English proficiency (B2-C1).
Nice to Have
- Experience with BI tools (Power BI, Tableau, Looker Studio)
- Experience working with multi-entity or international businesses
- Understanding of unit economics, LTV, CAC, and business performance metrics
Benefits
- Learning support - courses, English classes, and conferences (up to 100% reimbursement)
- Unique loyalty program - receive corporate digital miners and earn passive income with no investment
- Team culture: retreats in international locations (for example, company apartments in Cyprus)
- Memorable events with wow prizes - we celebrate big occasions in a big way
- "Employee of the Month" award - we recognize and reward our top performers
- Paid leave: up to 20 vacation days + 8 company holidays + 5 personal days per year
- New career tracks - real opportunities to grow into expert or top management roles
- Work-life fit - flexible hours and remote work. You don't need to chase balance - here, work is a part of life, not the opposite. We aim to make work inspiring, not exhausting. For us, results matter most