responsible for executing a variety of financial procedures, including month-end and year-end closings, accounts payable and receivable, tax returns, bank reconciliations, general ledger reviews, forecasting and budgeting.
Supports the selection and implementation of sales and balance management systems and tools, working closely with teams across the company in making such selections consistently meet our company’s quickly evolving needs
Prepares and provides weekly and monthly financial reports specifically related to Proof of Stake (POS) services to assist the team with monthly bookkeeping and financials
Prepares financial statements to ensure transactions and consolidations are properly reflected and in accordance with IFRS/GAAP
Prepares general ledger entries and provides proper supporting documentation for annual audit
Requirements
Bachelor’s degree in Accounting and/or Finance or another related field required
4-6 years of experience in an accounting and/or finance role
High proficiency with MS Office (Word, Excel, PowerPoint)
Must be able to create and use pivot tables and VLOOKUPs