Ethena
Financial Associate
Remote - PortugalFull-timeGlobal
š° EUR 50,000 - 75,000/yr
š Remote
RemoteRemote work position availableActivePosted within the last 30 days
Job Description
[AI-summarized by JobStash]
You will assist the Finance Manager in scaling a Web3-native accounting and control environment. You will record and classify fiat and on-chain transactions, perform reconciliations across banks, custodians, exchanges and on-chain wallets, and execute supplier and treasury payments. You will validate links between Web3 accounting software and the general ledger, prepare consolidation and tax schedules, and post accruals, prepayments and depreciation to support month-end close and audit readiness.
Requirements
- āProven experience in a financial accounting role, preferably within a multi-entity or international environment with IFRS experience
- āAbility to execute recurring accounting tasks with attention to supporting documentation
- āMindset to identify inefficiencies and suggest practical workflow improvements for payment runs and balance monitoring across banks, custodians, exchanges and stablecoin wallets
- āKnowledge of blockchain explorers (e.g., Etherscan) and experience with or strong desire to learn crypto sub-ledgers such as Cryptio, Cryptoworth or Tres
- āExperience organizing working papers and maintaining a structured audit trail that meets institutional requirements
Responsibilities
- āRecord purchase, sales, intercompany and treasury transactions across fiat and digital asset accounts, ensuring precise coding and VAT/tax treatment and maintaining supporting documentation
- āPerform recurring reconciliations across bank accounts, custodians, exchanges and on-chain wallets and investigate breaks to clear unmatched items
- āExecute supplier and treasury payments across fiat and digital asset rails following approval workflows and record runs accurately
- āValidate Web3 accounting software links to the general ledger and investigate mismatches using blockchain explorers
- āPrepare entity level schedules, intercompany reconciliations and data packs for multi-entity consolidation and regulatory requests
- āPrepare transaction schedules for VAT and tax filings and maintain an audit-ready trail of evidence
- āPrepare and post accruals, prepayments and depreciation entries to support month-end close
Benefits & Perks
- āFlexible remote-friendly work environment
Tech Stack
TresVATdepreciationCryptoworthonchain walletblockchain explorergeneral ledgerprepaymentEtherscanaudit