Akuna Capital is an innovative trading firm with a strong focus on collaboration, cutting-edge technology, data driven solutions, and automation. We specialize in providing liquidity as an options market-maker - meaning we are committed to providing competitive quotes that we are willing to both buy and sell. To do this successfully, we design and implement our own low latency technologies, trading strategies, and mathematical models.
Our Founding Partners first conceptualized Akuna in their hometown of Sydney. They opened the firm's first office in 2011 in the heart of the derivatives industry and the options capital of the world - Chicago. Today, Akuna is proud to operate from additional offices in Sydney, Shanghai, Singapore and London.
What you'll do as a Financial Controller at Akuna:
Akuna is seeking a Financial Controller to join our Finance department. We are looking for a proactive, self-starter who can work independently in a dynamic environment to achieve both individual and team goals. This position will work closely with other team members from Finance, Compliance, Trade Operations and Procurement. As Akuna continues to expand by opening new offices and entering new markets, this position will continue to gain exposure and experience within international accounting and the trading industry. In this role, you will:
Monitor, maintain and improve accounting control procedures
Supervise the work of the accounting team
Manage the completion of the month-end close process for numerous entities
Maintain complete and accurate accounting records including General Ledger, Income Statement, and Balance Sheet reporting
Prepare and file monthly, quarterly and annual reports for banks, regulators and other third parties
Prepare and review monthly, quarterly and annual transfer pricing and tax computations
Participate in budgeting process
Coordinate financial audits and tax returns filings with outside public accounting firms
Qualities that make great candidates:
Bachelor's degree in Accounting, Finance or similar
5+ years of professional accounting experience and experience in managerial role
Experience leading the finance team of a trading company or public accounting experience in the financial services (trading entities) industry
Excellent communication and analytical skills
Proficient in MS Office software, specifically intermediate to advanced Excel skills
Ability to multitask and prioritize to meet deadlines in a fast-paced environment
* Detail-oriented with a strong commitment to preparing accurate work
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