We are looking for a Finance Manager who will take ownership of treasury operations, crypto and fiat reconciliations, and management reporting in a regulated, multi-jurisdiction environment.
In a crypto exchange, treasury accuracy and reconciliation quality directly impact operational stability, liquidity management, and regulatory standing. This role is critical for ensuring financial transparency, effective cash flow control, and reliable reporting across the group. What you will be responsible for * Own the monthly management accounts process, ensuring accuracy, completeness, and timely delivery * Lead reconciliation of cryptocurrency balances and user liabilities across internal systems * Oversee fiat treasury operations, including managing relationships with payment providers and financial institutions * Monitor and optimize cash flow, commissions, and currency exposure * Ensure proper cost accounting and support budget control * Be fully responsible for preparation of statutory financial statements under IFRS across multiple jurisdictions * Communicate and coordinate work with external advisors across jurisdictions (auditors, accountants, tax consultants, etc.) * Coordinate tasks of junior finance staff and support their day-to-day execution * Drive implementation of new management accounting practices and policies as the company evolves its internal reporting framework * Collaborate closely with Compliance and Legal to align financial processes with regulatory requirements * Drive automation and continuous improvement of financial reporting and reconciliation processes
This role requires strong analytical depth, operational ownership, and the ability to structure financial processes in a fast-changing environment. Qualifications: * 3+ years of experience in finance, treasury, or financial reporting in complex environments (crypto, fintech, or financial institutions preferred) * Strong hands-on experience with IFRS and statutory reporting * Practical experience in treasury management, currency risk management, and payment provider operations * Experience working with cryptocurrency transactional data and reconciliations in the B2B segment * Solid understanding of compliance requirements for financial institutions * Hands-on experience with ERP systems and participation in implementation of new ERP solutions (QuickBooks experience is a strong advantage) * Ability to work independently, prioritize effectively, and drive processes forward * Fluent English (required) * Ukrainian or Russian for internal communication
Would be a plus * Understanding of cross-border (foreign economic) transactions and supporting documentation flows, including tax implications * Progress toward or completion of professional qualifications such as ACCA, CFA, or CIMA * Experience working with high-risk industries or maintaining relationships with financial institutions serving such industries
What we offer * Competitive salary * Flexibility to work fully remote or from a comfortable coworking — your choice * Reimbursement for English lessons and sports activities * 100% sick leave coverage * 30 business days of unified leave per year + 2 public holidays for all team members
Friendly and passionate team of professionals who are waiting for a new peer