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VP of Financial Control

Putrajaya, Malaysia
Closing date
Jul 19, 2024

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Job Function
Industry Sector
Finance - General
Employment Type
Full Time
Job Description
As a VP of Financial Control at Deriv, you'll play a critical role in ensuring the financial stability and growth of our organisation. While we build new products, open new offices, and grow our headcount, you'll help us make the right business decisions through appropriate financial forecasting and reporting.

Your responsibilities will include developing financial strategies to support business growth. You'll collaborate with various teams across the organisation, providing financial guidance and insights that will enable us to make informed decisions that align with our strategic goals. With your expertise in financial forecasting, you'll help us navigate the complexities of an evolving business landscape while keeping us accountable to our stakeholders.

Your challenges

  • Financial analysis: Conduct detailed financial analysis to gain insights into the organisation's financial performance, identify areas for improvement, and develop effective strategies to optimise financial performance and drive growth.
  • Expense management: Develop and implement cost-saving measures to optimise the use of financial resources, improve profitability, and enable growth. This includes monitoring expenses, identifying cost-saving opportunities, and evaluating capital expenditures to ensure a strong RoI.
  • Scenario building and analysis: Develop comprehensive financial projections that help guide critical decision-making across multiple scenarios, considering potential risks and opportunities that could impact the organisation's success.
  • Business performance metrics: Develop and implement metrics that comprehensively view business and systems performance. This will allow the management to decide whether building, growing, or abandoning would be a successful strategy.
  • Financial reporting: Prepare and present monthly, quarterly, and annual financial statements that accurately reflect the organisation's financial position and performance while providing insightful analysis and recommendations to guide future decision-making.
  • Risk management: Develop and implement robust risk management strategies that proactively mitigate financial risks and ensure financial stability, safeguard the organisation's assets, and drive long-term success.
  • Process improvement: Continuously evaluate financial processes to identify areas for improvement while driving changes that streamline operations, optimise efficiency, and enhance the organisation's financial performance.

What you have

  • University degree in accounting, finance, or a related field
  • 15+ years of experience in finance, with at least 5 years of management experience
  • Strong understanding of financial reporting, accounting principles, and financial analysis techniques
  • Analytical thinking and problem-solving skills, with the ability to develop creative solutions to complex financial challenges
  • Excellent spoken and written English communication skills

What's good to have

  • Experience in the FX industry
  • Professional certification such as CFA, CMA, or ACCA

  • The best workplace you can possibly imagine - a gorgeous 5-storey building including a rooftop garden, a gym, squash court, yoga room, barbecue pit, jam studio, and a lot more!
  • A chance to work with top talent from across the globe (70+ nationalities)
  • Ample team-building and bonding activities
  • Great overseas travel opportunities
  • Competitive salary and annual performance bonus
  • A range of health benefits
  • Casual dress code

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