Where this role is available
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- Luxembourg, LU
- LU
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Listed salary
EUR 100,000 - 140,000 / yearlySalary published on this job listing.
- Source
- Extracted from this visible public job listing
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- Key details
- 2 locations, On-site
- Salary
- EUR 100,000 - 140,000 / yearly
- Current openings
- 20 active jobs
- Original language
- English
- Source and freshness
- Collected from public career pages and reviewed through JobGrid.eu source availability checks. Last verified: May 14, 2026.
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Location: Luxembourg, Luxembourg (Office)
On-Site | Full-time
Compensation: €100K - €140K
We are hiring on behalf of our client who is a leading, regulated cryptocurrency exchange with a global presence across Asia, Europe, and the United States, they are seeking an enthusiastic and dynamic Accounting / Treasury Manager. This organization holds the distinction of being one of the first exchanges licensed to operate across multiple major jurisdictions and functions as a financial institution regulated by the CSSF in Luxembourg.
The successful candidate will lead the finance function for the European entity, ensuring the integrity, transparency, and efficiency of financial operations within a highly regulated environment. This role is designed for a leader who can build trust, motivate a team, and enhance processes to support a rapidly growing business in the revolutionary blockchain industry.
Key Responsibilities
Team Leadership & Strategy
- Lead the regional Finance team, fostering a culture of continuous improvement and professional development.
- Ensure all internal and external deadlines are met while maintaining high standards of financial control.
- Cooperate with global offices to ensure transparency and alignment on financial matters at a group level.
- Participate in internal and global projects to coordinate processes across the wider corporate group.
Financial Management & Controls
- Oversee financial accounting, including revenue accounting, accounts payable, month-end, and year-end closings.
- Prepare, analyze, and control internal and external financial statements.
- Manage Financial Planning & Analysis (FP&A), including budgeting, forecasting, and variance analysis.
- Evaluate and implement systems to drive automation and operational efficiency.
Regulatory & Compliance
- Collaborate with Operations and Compliance teams to ensure controlled and effective client asset safeguarding.
- Assist in the timely filing of regulatory reports, including those required by the CSSF.
- Manage corporate tax requirements (both direct and indirect).
- Ensure strict adherence to regulations, best practices, and internal procedures.
Treasury & Stakeholder Relations
- Oversee treasury management, including bank account oversight and cash reconciliation.
- Act as the primary point of contact for internal and external auditors to ensure timely audit completion.
- Provide timely escalations and reports to Management, the Board of Directors, and Group Head Office.