.About Safe and the team Safe is the account abstraction leader on Ethereum and the EVM with the most secure smart wallet infrastructure and platform. Our mission is to accelerate the transition to smart accounts. For more information about Safe, check out our website .You'll be joining a growing team that currently includes 50+ people overall. This role is based in Switzerland. Most of our team is based in Berlin, Germany, but we also have awesome teammates in Switzerland, Spain, Portugal, UK, and other countries.About the role: As a Head of Finance, you will be responsible for contributing strategically and operationally to the success of the company far beyond financial matters.
You'll be taking over responsibility for Accounting- Controlling- and Compliance matters and will be involved in leading and supporting Projects and Initiatives. You will also engage in critical projects, including transitioning to new external vendors, integration, automation, or enhancements.The job requires to be able to be extremely hands on and still keep the oversight and contribute actively to strategic matters. You'll be working with a highly motivated team and reporting directly to the CFO.? What you will be doing: Treasury Management: Oversee on-chain and fiat transactions, invoicing, and manage treasury activities to ensure smooth financial operations.Timely and Accurate Periodic Closing: Collaborate with internal bookkeepers and external parties to ensure seamless and precise closing processes.Liquidity and Funding Coordination: Support liquidity management and coordinate closely with the CFO on intercompany funding.Tax Filings: Work with our Operations team and tax Partner to handle various tax filings efficiently.Financial Automation: Build tools, automations,
and processes to streamline all financial efforts and enhance productivity.DAO Operations Support: Assist in issuing and monitoring grants, building robust reporting mechanisms to support the operations of the DAO.Token Option Exercises: Lead the financial processes related to token option exercises, ensuring compliance and accuracy.Month-End and Quarter-End Closings: Partner with the accounting team to prepare and review month-end and quarter-end book close processes.Reconciliations and Adjustments: Maintain appropriate reconciliations, validate support for all adjustments, and update financial statements accordingly.Financial Statements and Reporting including ESA: Prepare and coordinate financial statements, regulatory and VAT reporting, business forecasts,
and other external reporting requirements.Audit Leadership: Lead the audit process, coordinating all stakeholders to ensure a smooth and efficient audit experience.Cashflow and Budget Forecasting: Update weekly cashflow overviews, lead month-end forecasting, and budget processes, preparing detailed management reports and analytical reviews
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