Chief Financial Officer at StackFX

StackFX is a digital currency exchange platform and international payment provider built to serve both local and diaspora’s personal, trade advisory and business financial transfer needs, this is made possible through a unified FX platform that is both secure and accessible regardless of region.Details

The candidate is responsible for daily reconciliation of transactions processed on our payment gateway, managing merchant receivables and validation of bank statements and balances.
Other  responsibilities  include  monthly  accounting  entries  for P&L, balance sheet and cash flows
Candidate should be well versed in reading and understanding financial statements.
He or she is responsible for implementing and maintaining a system of internal controls that will ensure that company assets are adequately safeguarded and that all financial reporting is prepared in alignment with all financial policies and compliance requirements.
In addition, general administration relating to office expenses and invoices will be required.

Duties and Responsibilities

Oversee cash management/reconciliation,  financial reporting and balance sheet management.
Accountable for ensuring that policies and procedures  (internal controls) are in place to provide reasonable assurance that the company assets are protected.
Ensure that company financial records, under responsibility,  are maintained in compliance with company policies. 
Responsible for reviewing monthly/quarterly account reconciliations and other documents to ensure this compliance.
Establish accounting operational strategies by working with the platform development team,  identifying requirement gaps,  automating processes, and implementing change.
Coordinate work relating to both internal and external audits in the periodic review of the company financial records. Is further responsible for the implementation of agreed-upon recommendations, related to areas of responsibility, resulting from the audit findings.

Prior Experience & Skills

Accounting/controller experience within a multinational business.
Ability to work collaboratively across departmental functions
Experience in banking. payment processing, or credit card industry
Strong knowledge of internal controls and financial reporting
Excellent communication and leadership skills
Proficient in MS Excel
Experience with SAP, Airbase, Sage One entry system a plus
Good command of written and spoken English.

Source: MyJobMag Job Feed

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