Financial Controller
About the Role
You will take full ownership of finance operations for a multi-entity investment and operating platform. You will manage monthly close, prepare management reporting and annual financial statements, plan and coordinate audits, and apply accounting judgment for acquisitions, restructurings, and complex transactions. You will oversee treasury and digital asset custody processes, maintain controls for wallet operations (including Fireblocks and hardware wallets), and ensure strong documentation and segregation of duties. You will provide functional oversight of finance and fund administration staff, improve internal controls and resilience, and deliver advisory finance support for affiliated entities on request, including financial modelling, ESOP modelling, fundraising materials, and M&A analysis.
Requirements
- 6–10 years of relevant experience
- Experience in venture capital, private equity, or asset management, Big 4 audit/advisory with buy-side exposure, or investment holding companies with multiple SPVs
- Experience owning audits and managing complex structures
- Strong accounting and financial judgment
- Comfortable in ambiguous, fast-moving environments
- Ability to engage senior stakeholders confidently
- Hands-on and commercially minded approach
- Focus on clarity, controls, and governance
- Nice-to-have: exposure to digital assets or alternative investments
- Nice-to-have: multi-jurisdictional accounting experience
- Nice-to-have: familiarity with fund structures and SPVs
Responsibilities
- Own end-to-end finance operations for Mirana entities
- Oversee monthly close, management reporting, and annual financial statements
- Plan, coordinate, and resolve audits
- Manage accounting across multiple SPVs and acquired operating entities
- Act as primary finance counterpart to senior management, auditors, fund administrators, and external advisors
- Apply accounting judgment to acquisitions, restructurings, and complex transactions
- Oversee treasury operations and reporting
- Maintain controls around digital asset custody and wallet operations including Fireblocks and hardware wallets
- Maintain transaction approval workflows and ensure segregation of duties
- Ensure strong documentation and operational resilience
- Provide functional oversight of finance and fund administration staff
- Improve internal controls, documentation, and reduce single-point dependencies
- Provide on-request finance support to affiliated platforms including management reporting, audit coordination support, financial modelling, ESOP modelling, fundraising materials, and M&A finance analysis
