Finance Accountant
6.0/10
Improbable
Not specified
Office / on-site
mid
3 days ago
cryptofintechweb3
AI Summary
The vacancy is well-defined but lacks compensation details, affecting overall quality.
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Description
The Opportunity
#### Reconciliations and controls
- •Prepare and own monthly balance sheet reconciliations across assigned accounts.
- •Investigate and resolve reconciling items, escalating issues where appropriate.
- •Drive improvements to reconciliation templates, documentation and process consistency.
#### Digital asset reconciliations
- •Perform monthly reconciliations across wallets, exchanges, custodians, internal records and the general ledger.
- •Prepare digital asset movement schedules and supporting workpapers.
- •Investigate and resolve differences between source data and finance records.
- •Maintain robust audit evidence for digital asset balances and transactions.
- •Apply a strong technical understanding of digital asset mechanics, including custody, transfers, wallets and gas fees.
#### Month-end close and reporting
- •Own delivery of month-end close tasks; preparing supporting schedules and workpapers to a review-ready standard consistently and on time.
- •Maintain monthly intercompany loan schedules and reconciliations. Investigate and resolve intercompany differences.
- •Produce internal billing and revenue reconciliation schedules.
- •Prepare elimination journals as part of the consolidation process.
- •Perform P&L reviews, identifying and explaining unusual movements and variances with clear commentary.
- •Complete ONS surveys and other recurring external returns.
#### Audit, statutory, tax and compliance
- •Ensure finance records are complete, accurate and well organised.
- •Maintain audit-ready schedules and documentation throughout the year.
- •Provide support during statutory audits; responding to audit queries and requests directly to auditors.
#### Stakeholder and process support
- •Document recurring finance processes and maintain clear process notes.
- •Identify process gaps or inconsistencies and propose improvements.
- •Liaise with internal stakeholders to gather information and resolve finance queries.
Requirements
Why you’re made for this
- •Part-qualified accountant (ACA / ACCA / CIMA), close to finalist level, with strong technical accounting fundamentals.
- •Practical experience across month-end close, balance sheet reconciliations and intercompany within a fast-paced environment.
- •High attention to detail and a strong commitment to accuracy, control and audit-readiness.
- •Strong Excel and Google Sheets skills, with the ability to build and improve robust reconciliation and analysis workpapers.
- •Confident communicator, able to liaise effectively with stakeholders across Finance and the wider business to resolve queries and follow issues through to resolution.
- •Comfortable working with ambiguity, shifting priorities and incomplete information, with a bias toward structure, clarity and on-time delivery.
- •Interest in (or exposure to) Web3, blockchain and digital assets is highly desirable, with a willingness to develop deep expertise in this space.
- •Exposure to NetSuite or a similar ERP, and experience supporting UK statutory audit and tax processes, would be an advantage.
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