Financial Product Control Lead

Coinmerce Capital B.V.· Schiphol-Rijk· personio· zverejnené 09. 07. 2026
Povinné:PythonAIE-CommerceLeadPrincipalRemote
Who are we Coinmerce Group is a Dutch-founded European crypto services company consisting of 3 pillars: brokerage, asset management and proprietary trading. Transparency is our core value, and our open-door policy supports collaboration, innovation, and team spirit in our Schiphol-Rijk office. With over 160 talented colleagues, we’re shaping the future of crypto together, are you ready to join us? What we offer Innovative work: Be part of a team advancing new technology within the crypto industry; Modern workspace: Enjoy our new office located at Schiphol-Rijk; Daily perks: Free lunch, fresh fruit, and weekly Friday drinks at our company bar; Team events: Engage in monthly team events and bonding activities; Commuting & pension: Receive commuting allowance and a solid pension plan; Benefits & wellness: 25 vacation days, monthly chair massages, and access to our company gym and Alleo benefit program; Extra perks: A €250 home-office setup budget after completing your probation period; Yearly L&D budget: Of EUR 2000,-! About the role The Product Control Lead is the financial integrity engine of the Group. Across a MiCAR-regulated business spanning retail brokerage, asset management, and crypto lending, this role guarantees that the valuation, validation, and reporting of every revenue-generating pillar is accurate, timely, and defensible - to management, auditors, and regulators alike. You don’t simply oversee the numbers; you take hands-on, daily ownership of their accuracy. You sit at the intersection of Finance, Treasury, and Trading as the primary guardian of P&L integrity, translating complex on-chain and exchange flows into clear, actionable reporting. This is a hands-on leadership role that also builds a high-performance, high-accountability culture within the Product Control sub-team. Key responsibilities •  Daily P&L validation:  Own the daily and flash P&L across brokerage and asset-management strategies (crypto directional, yield farm, funding). Validate trading, funding, and lending results against source data and challenge anomalies before they reach the books. • Month-end close ownership:  Run the end-to-end month-end close (MEC) for the Product Control scope - a multi-phase, multi-entity process delivered to predictable timelines, with layered reconciliations and formal sign-off from strategy and product owners. • Loanbook & counterparty reconciliation :   Take day-to-day ownership of the Group loanbook, reconciling internal records against broker and counterparty statements and against on-chain and exchange sources. Identify, root-cause, and resolve principal, rate, and valuation discrepancies. • Multi-entity financial control:  Ensure consistent, accurate financial control across the different entities of the group — including yield-cost calculation, inter-entity flows, and the specialized reporting each product line requires. • Active people leadership:  Act as the primary operational lead for the Product Control sub-team. Beyond 1:1s, own the daily execution quality of the team, set and manage performance standards, and directly address sub-optimal output to sustain a high-accountability environment. • Cross-functional linking pin:   Coordinate shared workflows across Treasury, Trading / Yield Farm, Accounting, and Earn Operations. You are the bridge that keeps the departmental split from creating silos or control gaps. • Systems, controls & AI-driven automation:  Proactively identify manual bottlenecks and build durable solutions - Python-based reconciliation and reporting pipelines, exchange and on-chain data integrations, and AI-generated reporting commentary - to accelerate reporting cycles and optimize headcount. Define the Product Control business logic, P&L framework, and data architecture required for the engineering rebuild of the Group’s loan management system.