Company Introduction
We are a leading global asset management company headquartered in Paris, France, and one of the largest asset management institutions in Europe.
We offer active and passive investment products, including mutual funds, ETFs, alternative assets, and private capital, serving institutional clients, individuals, and wealth management channels.
We plan to open a branch office in Los Angeles in March 2026. Currently in the pre-construction phase, we are recruiting outstanding talent to join us and prepare for the company's official launch in the US market.
Our work model is highly flexible, supporting remote work, and we provide an international and multicultural work environment.
We are focused on driving the development of the cryptocurrency options trading market through innovation and leadership, adhering to honest and prudent investment principles, and providing clients with reliable investment solutions and risk management strategies.
Job Summary:
The Chief Financial Officer (CFO) is responsible for the company's overall financial strategic planning, capital operations, risk management, and financial health, ensuring a sound capital structure, efficient operations, and driving long-term sustainable development. The CFO is a key member of the company's strategic management team, working closely with the CEO and the Board of Directors to formulate and implement the company's medium- and long-term development strategies.
Key Responsibilities:
Financial Strategy and Planning
Formulate and implement the company's overall financial strategy, ensuring alignment with business objectives.
Monitor economic trends, policy changes, and market dynamics, providing data support and strategic advice for senior management decision-making.
Participate in major investment, M&A, and financing decisions, designing capital structure and fund allocation plans.
Budgeting and Financial Management
Lead the annual budget preparation, financial forecasting, and performance analysis.
Establish an efficient financial management system and internal control mechanisms to improve the efficiency of fund utilization.
Oversee cost control and profit optimization, promoting the digitalization and lean management of financial processes.
Funding and Capital Operations
Oversee the company's cash flow management, bank relationship maintenance, and financing activities.
Develop capital operation plans, optimize debt and equity structure, and ensure the company's sound development.
Supervise portfolio and risk exposure management to ensure financial security and compliance.
Risk and Compliance Management
Establish a comprehensive financial risk management system to prevent potential risks such as tax, exchange rate, and credit risks.
Responsible for financial compliance and auditing, ensuring adherence to local and international financial standards (such as IFRS/GAAP).
Submit regular financial reports and risk assessment reports to the board of directors and regulatory agencies.
Team Leadership and Cross-Departmental Collaboration
Lead and develop the finance team to enhance overall professional capabilities and execution.
Work closely with operations, sales, legal, and human resources departments to support business decisions and strategic execution.
Participate in corporate culture building, promoting a financial management philosophy centered on transparency, integrity, and responsibility.
Join us and you will receive:
Flexible remote work options
Freedom to choose your projects and areas of expertise
Competitive compensation package
Continuous and diverse project opportunities
Career development and growth support
International and multicultural team
Healthy work-life balance
Stock dividends and performance bonuses
Retirement account contributions
Medical and accident insurance
Job Requirements:
Educational Background:
Bachelor's degree or above in finance, accounting, economics, or related fields; MBA or Certified Public Accountant (CPA/ACCA/CFA) preferred.
Work Experience:
Over 20 years of financial management experience, including over 5 years as CFO or finance manager in a large enterprise or multinational corporation.
Experience in capital market operations, investment and financing management, and international financial management is preferred.
Professional Skills:
Proficient in financial analysis, budget control, capital operation, and risk management.
Familiar with international accounting standards and corporate tax policies.
Excellent data analysis and decision-making abilities; proficient in using financial management software and digital tools.
Overall Qualities:
Exceptional strategic thinking, communication skills, and leadership.
High level of professional ethics and integrity.
Able to maintain composure and judgment in a rapidly changing environment.