This role is a 12-month maternity cover contract. Candidates must hold a valid UAE visa. No visa sponsorship will be provided for this role.
About Us
Established in March 2018, Bybit is one of the fastest growing cryptocurrency derivatives exchanges, with more than 70 million registered users. We offer a professional platform where crypto traders can find an ultra-fast matching engine, excellent customer service and multilingual community support. We provide innovative online spot and derivatives trading services, mining and staking products, as well as API support, to retail and institutional clients around the world, and strive to be the most reliable exchange for the emerging digital asset class.
Our core values define us. We listen, care, and improve to create a faster, fairer, and more humane trading environment for our users. Our innovative, highly advanced, user-friendly platform has been designed from the ground-up using best-in-class infrastructure to provide our users with the industry's safest, fastest, fairest, and most transparent trading experience. Built on customer-centric values, we endeavour to provide a professional, 24/7 multi-language customer support to help in a timely manner.
As of today, Bybit is one of the most trusted, reliable, and transparent cryptocurrency derivatives platforms in the space.
Key Responsibilities
Tax & Audit
- Ensure timely and accurate preparation of monthly, quarterly, annual and ad-hoc financial statements in compliance with International Financial Reporting Standards (IFRS).
- Lead year-end audit processes and maintain effective communication with external auditors.
- Ensure company operations comply with applicable financial, accounting, and tax regulations.
Accounting & Finance Operations
- Prepare and maintain accurate financial records within the accounting system, ensuring timely monthly close processes and the production of complete and reliable management and statutory financial reports.
- Review and approve company expenses and payment requests in accordance with internal controls.
- Conduct inter-company fund reconciliations for assigned entities, confirming accounts receivable and actual cash receipts.
- Review financial movements and trends, and support FP&A teams in financial analysis and reporting.
- Perform reconciliation checks on trade and transaction data across multiple sources, including platform finance systems, big data outputs, and accounting records.
- Act as a key liaison between accounting/finance functions and multiple departments (eg. platform teams, big data, fiat operations, legal & etc) to ensure compliance with local regulatory requirements, as well as alignment and accuracy across financial processes
Regulatory Reviews & Compliance
- Support finance operations across regulated jurisdictions, enhancing compliance readiness and control frameworks.
- Ensure operational stability by supporting licensing applications, regulatory audits, and ongoing compliance deliverables across multiple regions.
- Coordinate effectively with internal stakeholders and external consultants, auditors, and regulatory bodies.
Financial Strategy & Planning
- Assist in formulating mid to long-term financial strategies and annual operating plans.
- Lead or support annual and quarterly budgeting and forecasting processes.
Treasury Management & Reconciliation
- Monitor company cash flow, execute cash planning activities, and manage fund allocation across entities.
- Lead month-end reconciliations across multiple channels, verify accounts receivable against actual receipts, and proactively identify and mitigate fund-related risks.
Team Leadership & Process Improvement
- Lead, motivate, and develop members of the finance team by setting clear objectives and supporting professional growth.
- Continuously optimize and streamline financial processes and systems, driving digitalization, automation, and efficiency improvements.
Qualifications
Education
- Bachelor's degree or higher in Accounting, Finance, or a related discipline.
- Professional certifications such as CPA, IMA, or CFA are strongly preferred.
Work Experience
- Minimum of 5 years of relevant finance experience, including at least 3 years in a Finance Manager or equivalent role within a large enterprise or multinational organization.
- Strong and practical knowledge of finance, accounting, and auditing principles.
Technical Skills
- Strong proficiency in International Accounting Standards and hands-on experience with IFRS.
- Solid financial modeling, data analysis, and commercial acumen.
- Advanced proficiency in Microsoft Office applications, particularly Excel.
- Working knowledge of SQL or data querying tools is a strong advantage.