Cryptocurrency Financial – Chief Financial Officer
Listed on 2026-01-07
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Finance & Banking
Financial Manager, CFO, Corporate Finance -
Management
Financial Manager, CFO
Client is born from a partnership with seasoned investors, successful entrepreneurs, and industry leading technologists. Client seeks to make the company the most trusted choice for cryptocurrency investment worldwide.
The company provides an easy to access, simple, transparent, and excitingly different solution to cryptocurrency investing. With it, people can regain ownership of their information in a world where privacy is scarce. Developing countries can build themselves up without brick and mortar.
Scope of Position
Reporting to the Founder and Chief Executive Officer, the Chief Financial Officer (CFO) is responsible for overseeing all financial aspects of the Company’s operation and reporting on those aspects to the Board of Directors and the executive management team in a timely and accurate fashion.
More specifically, the CFO will be accountable for the development of the financial and strategy direction, metrics tied to that strategy, and the ongoing development and monitoring of control systems designed to preserve company assets and report accurate financial results.
Critical to this role is the individual’s awareness of the early stage growth environment. The successful candidate will lead the company to the next stage in the evolution from its current early beginnings to annual revenue in the hundreds of millions over the next several years while preparing the company for the eventual IPO.
Functional Tasks
- Responsible for setting the financial strategy to ensure long term growth and optimum enterprise value for the company;
- Provide the primary external interface with financial institutions and investment community;
- Act as a key business partner to the CEO and the operating team, providing financial guidance and counsel on all matters relating to the finance function including strategic business planning, budgeting and forecasting, business analysis, and corporate growth strategies. Take ownership for results along with the management team;
- Report on the Company’s financials (i.e. P/L, Balance Sheet, cash flow, etc.) to the executive management team and the Board of Directors;
- Provide hands-on leadership, guidance, mentorship and performance management to the finance staff in the organization;
- Oversee and manage the accounting, tax, insurance, budget, credit and treasury and capital structure functions ensuring that the interests of all stakeholders are served;
- Provide teaching and coaching to other senior management staff on financial matters relating to their operational responsibilities;
- Preparation of the annual financial statements in accordance with Canadian and US GAAP and IFRS requirements, as necessary;
- Provide effective cash flow management (receivables, suppliers, capital expenditures, expenses) and make recommendations; review existing financial procedures and implementation and necessitate change as approved;
- Oversee all budgeting aspects and audits relating to the Company and oversee all financial management systems incorporated by the Company; provide primary interface with the approved external auditors;
- Ensure operational milestones are met on time, with high quality and that they meet the cost objectives that are established; reporting on a monthly as well as a quarterly basis;
- Ensure appropriate internal controls are in place for the benefit of all stakeholders;
- Manage the relationship with the audit firm for annual audit/income tax activities and all related matters;
- Ensure that the finance organization is structured and sized to be optimally aligned to the needs of the business;
- Oversee all purchasing and payroll activity for staff and participants;
- Manage investor relations with a view to accurately yet positively representing the company in the public and financial marketplaces.
- Manage banking and other stakeholder relationships;
- Manage financial relationships/contracts with investors, debtors, suppliers, customers and partners along with the CEO and other team members;
- Ensure compliance to securities statutory and regulatory reporting requirements;
- Effectively manage the company’s cash and securities position and drive any supplementary initiatives deemed necessary by the…
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