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Finance Officer

30+ days ago 2026/02/25
Other Business Support Services
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Job description

Primrose Capital Management is a global quantitative digital assets fund manager revolutionizing how digital capital is managed.
Backed by decades of experience at renowned quantitative hedge funds and as pioneers in digital asset derivatives, we leverage cutting-edge technology and data-driven insights to deliver sustainable value to our clients.
In Primrose, everyone is encouraged to challenge the boundaries of conventional thinking.
Our goal is to hire the best and brightest individuals who think creatively and embody a commitment to continuous improvement.
If that is you, then come along and shape the future of the digital assets space with us!
Responsibilities The Finance Officer (“FO”) hold the top financial position in in the firm.
They are responsible for tracking cash flow and financial planning and analyzing the company’s financial strengths and weaknesses and proposing strategic directions.
The FO reports directly to the Chief Operating Officer and indirectly to the Senior Executive Officer.
Managing Accounting & Finance Activities for the company.
Ensuring management accounts and statutory accounts are prepared and shared with all stakeholders of the company.
Responsible for financial projections, management of budgets and ensuring accurate financials are prepared.
Ensuring Accounting & Finance function is compliant with Statutory rules and regulatory regulations.
Provide financial and business decision leadership support for both ongoing business and the development of new opportunities.
Set targets and KPIs that will be monitored to ensure the desired financial outcome.
Develop, execute, and oversee enterprise-wide capital allocation given strategic objectives.
Monitor financial and economic information to identify trends and indicators that may impact business operations, planning, long-term profitability goals, interim risks, and investment strategies.
Plans and supervises the financial reporting process, ensuring the preparation and release of accurate and timely financial reports that comply with financial policies and standards.
Ensure that the Directors are properly informed, and that sufficient information is provided to the Board to enable the Directors to form appropriate judgments.
Ensures accurate cash flow projections and efficient cash management through adequate funding from banks and tracking the proper allocation of funds to various projects.
Nurtures relationships with various external parties (such as banks/insurers/consultants/vendors) in order to obtain the best external services to the maximum benefit of the organization.
Understand and calculate the risks involved in the financial activities of the organization.
Assist in fund-related matters such as reconciling the monthly NAC, monitoring the exchanges and external parties, auditing the expenses charged to the fund(s) and investment manager and fees earned.
The Environment We Offer As a growing firm with a tightly-knit team, we respect and listen to all our employees.
You will get the chance to make an impact by having your voice heard by everyone, including the management.
Our employees enjoy a high level of autonomy at work.
We focus on substance, not form - as long as you can perform, you will be recognized and rewarded.
We are also dedicated to supporting our staff and ensuring they develop holistically to maximize their potential in the long- term.
We also provide flexible working arrangement as required and a casual and fun environment to boot!
Minimum 5 years of relevant finance, accounting or audit experience within an asset management, hedge fund, or financial services environment.
Proficient understanding of financial operations within an ADGM or FSRA-regulatory environment (or equivalent jurisdictions such as DFSA, MAS, FCA).
Experience in interacting with regulators and handling regulatory questions.
Experience in developing and maintaining risk policies, controls, and reporting tools.

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