Finance Manager - Cash at Betsson Group
, , Malta -
Full Time


Start Date

Immediate

Expiry Date

12 Feb, 26

Salary

0.0

Posted On

14 Nov, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

MS Office, MS Excel, MS PowerPoint, Process-Driven Mindset, Effective Communication Skills, Natural Leadership Skills, Organization Skills, Time Management Skills

Industry

Entertainment Providers

Description
The Wow The Finance manager - Treasury plays as key role in managing and supporting the Treasury function, by overseeing the cash flow & liquidity of the various entities within the Group. The role also has the responsibility for keeping up to date with accounting standards, as well as changes Betsson Group changes that will impact the work involved in maintaining accounting records for cash management. A taster of what you will be involved with: Managing the finance function from the cash perspective, whilst ensuring that financial records are maintained for the related areas Manging the cash flow forecast & reporting the monthly cash flow movement to management in Malta and at Head Office Assisting in day-to-day tasks relating to banking, ad-hoc tasks and queries within Betsson Group Ensuring processes for payment runs are in place and guiding team to perform these tasks in an efficient manner Analysing & forecasting daily cash balance to ensure sufficient funds are available to meet on-going operational requirements, and generating cash flow reporting Administering the setup of banking facilities and ensuring all banking and signatory requirements are up to date Ensuring compliance with all Licences Policies for each jurisdiction Betsson operates in including MGA policies (including the MGA Player Liability Report), internal Treasury Services policies and procedures Working closely with other team members and liaise with banking institutions and other third parties, as well as auditors and consultants where relevant Performing and reviewing month end reconciliations & reporting Managing FX exposures including executing currency hedging agreements Assisting in the preparation of ad-hoc reporting What we are looking for The candidate must have knowledge in MS Office (especially MS Excel and MS PowerPoint) process-driven mindset effective communication skills natural leadership skills organization and time management skills At least 2 years managerial experience, with experience in the treasury function considered an asset. What we offer Much like riding a rollercoaster, sometimes life at Betsson can be lightning fast with twists and turns but always FUN! Then again, what else would you expect from a business 75% millennial and 1700 strong, spread across 7 offices with 900 based out of our Malta HQ alone! We recognise it may not be for the faint-hearted, but if you’re a go-getter, initiator and adrenaline junkie, always striving to push the boundaries and challenge yourself, then you’ll fit right in. Challenge accepted? By submitting your application, you understand that your personal data will be processed as set out in our Privacy Policy
Responsibilities
The Finance Manager - Treasury is responsible for managing and supporting the Treasury function, overseeing cash flow and liquidity for various entities within the Group. This includes managing cash flow forecasts, ensuring compliance with policies, and liaising with banking institutions.
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