Job Description
About Twinstake
Twinstake is a leading institutional staking provider which offers unrivalled knowledge and experience of the institutional market from our founding heritage coupled with deep crypto expertise and technology from our team of core devs and industry veterans.
We stand out in:
- Compliance and Risk Mitigation
- Non-custodial Solution
- Enhanced Reporting and Data
- Optimised Performance
- Premier Service
About the role
This is a finance-focused hybrid role with exposure to operations and cross-functional processes. The analyst will take ownership of core finance workflows including reconciliations, invoicing, and spend tracking, while also supporting related operational tasks such as tool oversight and headcount coordination. The ideal candidate is structured, detail-oriented, and thrives in fast-paced environments where execution matters.
This is also a growth role you do not need to have seen everything before. If you’re motivated, quick to learn, and bring a strong work ethic, we will help you develop the technical skills. You’ll get hands-on exposure to the finance engine behind one of the most operationally complex companies in crypto.
About you
We care more about your mindset and work ethic than whether you tick every technical box. We’re looking for someone who’s humble, dependable, and takes pride in doing things right — even when no one’s watching. You should be eager to learn, easy to work with, and comfortable jumping in to help wherever needed. You’ll be trusted with real responsibility early, and supported as you grow.
What you will contribute:
- Assisting with bank reconciliations and tracking of accounts payable/receivable
- Supporting the preparation of client and contractor invoices, including line item checks and payout coordination
- Helping to track spend vs. budget across headcount, tooling, and project costs
- Maintaining and updating internal cost tracking tools and spreadsheets under guidance
- Assisting in gathering and formatting data for month-end and year-end close with our accounting partners
- Reviewing headcount cost assumptions to ensure consistency
- Preparation of internal reporting packs and financial summaries
- Monitoring payment tooling and supporting execution of routine flows
Operational support (as needed):
- Maintaining finance and ops documentation and SOPs
- Assisting with contractor onboarding workflows (e.g. Docusign, Deel, access audits)
- Supporting internal checks on tooling usage and license logs
- Collaborating with People/HR on headcount tracking and cost forecasting updates
What you bring:
- 1–3 years in finance, accounting, or operations
- Excellent Excel/Google Sheets skills
- Hands-on experience with financial processes: reconciliations, invoicing, spend tracking
- Detail-orientation and structure — ability to follow and improve multi-step processes
- Proactivity and flexibility; comfortable jumping between finance tasks and operational admin work
- UK or EU time zone required; London-based is a plus for occasional in-person work
- Fluency in English
What makes you stand out:
- Partially achieved accounting qualification (ACCA / ACA / CIMA)