Controller - Web3 Practice
A
Attivo PartnersFinance, Accounting
The position location is flexible/work from home, with preference given to candidates in the following cities where Attivo has an employee presence: San Francisco/Bay Area, Los Angeles/Southern California, New York City, Austin, Denver And Boston. Candidates in other locations are welcome to apply.Full-TimeManager
Salary160,000 - 200,000 USD per year
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Job Details
- Experience
- 8+ years of progressive accounting experience with at least 2 years at the Assistant Controller level and above; multi-client experience highly preferred; 2+ years of recent experience at a Web3 company or crypto native.
- Required Skills
- SQLMicrosoft ExcelAccountingFinanceNetSuite
Requirements
- Desire to work side by side with a variety of CFOs and want mentorship
- Advanced+ Excel skills and ability to manipulate larger data sets
- Experience with standard software solutions: QuickBooks Online, Xero, NetSuite, Campfire, Brex, Ramp, Rippling, Gusto, Rillet, Carta
- Experience with crypto accounting software (e.g. Bitwave, Cointracker, Tres) and reconciliation of on-chain transactions
- Excellent written and verbal communication skills, comfortable with basic Web3 vocabulary
- Strong analytical and problem-solving abilities
- Independent judgment and decision-making
- Ability to manage multiple projects/priorities at a time
- Professional curiosity & creativity for Web3 innovation and financial transformation
- Passionate desire to learn & for continuous improvement
- Bachelor’s degree in Accounting or Finance preferred
- CPA or CFA preferred
- 8+ years of progressive accounting experience with at least 2 years at the Assistant Controller level and above
- 2+ years of recent experience at a Web3 company or crypto native
- Experience guiding, mentoring, and leading high performing accounting teams
- Experience working in a fast-paced technology and/or professional services environment
Responsibilities
- Manage all general on-chain and off-chain accounting functions which includes performing month-end close process, eliminations & consolidations, preparing and booking journal entries, account reconciliations and variance analysis
- Prepare monthly consolidated client financials including fluctuation analysis and budget vs actual comparisons
- Utilize on-chain accounting tools to streamline processes and improve data accuracy
- Set client accounting & tax policies
- Define & implement ASC 606 revenue recognition policies
- Direct activities related to efficient customer cash collection and vendor payments and overall cash management and cash forecasting
- Build financial models to help clients manage cash and make intelligent and proactive operational decisions
- Analyze company operations to identify operational and cost efficiencies and implement solutions
- Create and manage KPI Dashboards
- Manage general HR responsibilities, including payroll, processing employee onboarding & offboarding, and benefits management
- Manage Token Accounting - which includes token warrants and token compensation
- Oversee client tax-related matters to ensure timely compliance
- Lead annual financial audits, as required
- Manage and mentor accounting teams across all clients
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