About SCRYPT
SCRYPT is where money moves: across borders and currencies, on-chain and off. One platform brings together payments, trading, custody and asset management, connecting stablecoin and fiat rails for institutions that move money at scale. Clients are supported by a human desk that runs 24/7.
SCRYPT is a multi-jurisdictional licensed platform headquartered in Switzerland. Licensing and entity information: scrypt.swiss/regulatory.
About the role
SCRYPT is hiring a Finance Analyst to own the full invoice-to-ledger cycle, maintain audit-ready books, support light treasury, and produce accurate monthly management reporting in a FINMA-regulated, multi-currency environment.
This is a hands-on, ownership-driven role for someone with 2–3 years of experience in finance, accounting, or audit. Workload is flexible between 60% and 100%, based at our central Zurich office.
Reports to the Group COO.
The Bar
Small team, senior bar, AI-native by default. We hire builders who ship, not managers who maintain. One great hire beats three average ones, so we hold the bar even when the seat is empty. Ownership from week one. Velocity from day one. If you need a long runway before you contribute, this isn't the role.
Key responsibilities
- Accounts payable and invoices: Process all incoming invoices end to end: validation, coding, approval routing, and payment scheduling; Reconcile bank-to-invoice across all operating accounts, on a monthly cycle; Maintain supplier records, payment terms, and the invoice tracker
- Ledger and bookkeeping: Maintain the general ledger across all SCRYPT entities: postings, accruals, prepayments, intercompany entries; Run month-end close: reconciliations, journals, balance sheet substantiation; Keep books audit-ready year-round under Swiss CO and GwG retention requirements
- Audit handoff: Prepare and own the audit pack for Big 4 handoff; Act as first point of contact for auditor queries; gather supporting documentation and reconciliations; Track and close audit findings to deadline
- Treasury (light): Monitor cash positions across fiat and entity accounts; flag liquidity gaps; Prepare payment runs and support FX and funding movements; Maintain the cash forecast
- Monthly reporting: Produce monthly management accounts: P&L, balance sheet, cash flow, and variance commentary; Build and maintain reporting workbooks; deliver clean numbers to the COO on a fixed monthly calendar; Support quarterly board and investor reporting inputs
Requirements
- 2 to 3 years in finance, accounting, or Big 4 / audit
- Abacus know-how or equivalent bookkeeping software
- AI native and fluent: Claude, ChatGPT, or other models used daily in workflow
- Strong reconciliation and Excel skills; ERP or accounting-system fluency
- Working knowledge of Swiss GAAP / CO; multi-entity and multi-currency exposure an advantage
- High accuracy, first-pass-right discipline, and ownership under deadline
- English fluent; German an advantage. Swiss work authorisation or EU/EFTA national
- Nice to have: Crypto, fintech, or regulated financial services background. Exposure to FINMA / VQF reporting environments
What we offer
- Real ownership of a function - not a slot in someone else's org chart
- A team where AI tooling is native, not a “transformation initiative”
- Direct access to founders, board, and clients. Flat hierarchy, no middle layers
- Meaningful equity in a Series A institutional crypto company building toward unicorn scale
- Swiss-anchored, globally operating - regulatory rigor where it matters, volume where it counts
Next steps
Send a CV and one paragraph on the most automated finance workflow you've built - what was manual before, what's automated now, and what it saves.
Finance Analyst
Apply for this role
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