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Group Financial Controller

  • IT, Software development, System Engineering Jobs
  • Banking, Finance, Insurance, Accounting and Trade jobs
  • Betting and Gaming Jobs

Description

● Managing budget and financial forecasts and report variances.
● Cash flow management.
● Applying quality control over financial transactions and financial reporting.
● Validating and Approving suppliers’ invoices for Payment.
● Control over Bookkeeping of Group of Companies.
● Monthly preparation of P&L reports.
● Preparation of the financial accounts including the balance sheet and the income statement and other Interim Reports for the Group.
● Assisting in submission of Tax, Compliance and other Returns.
● Producing various reports in order to constantly monitor the company’s cash flow.
● Providing support for the preparation of monthly budget and yearly forecast.
● Review and Management of Agreements with Service Providers.
● Support the Company’s financial operations ongoing needs.
● Preparation of company audit packs for each entity for audit review.
● Preparation of Board reports.
● Preparation of Management Accounts.
● Preparation of Group Annual Financial Statements.

Responsibilities

  • Certified Public Accountant, having a proven track record as a senior controller in the online gaming industry.
  • Exceptional detail and follow-up skills, able to effectively establish priorities and meet deadlines.
  • Strong analytical and data-driven approach.
  • Experience with financial statutory obligations in multi- jurisdictional environment especially in Malta, UK, Romania and/or Cyprus is advantageous.
  • Extensive experience of leading and implementing budget, forecasting and CAPEX cycle.
  • Proven experience with preparation of P&L reports.
  • Expert in Microsoft Excel and proficient in other Microsoft Office applications.
  • Ability to work on several projects at the same time.
  • Excellent English communication skills demonstrating ability to communicate effectively at all levels within the business, both in writing and verbally.
  • Extensive experience and delivery of reconciliations in multiple areas - multiple brands on multiple platforms (revenues and costs), payment providers, gaming providers, tax and VAT calculations.
  • Extensive experience to deal with multi entity complexity and its legal requirements to manage.
  • Audit management experience within leading audit firm is advantageous.
  • Knowledge of IRFS and also US GAAP accounting standards is an advantage.
  • Knowledge in the preparation of Group Consolidation Financial Statements as per IRFS and US GAAP is an advantage.

Hard Skills

  • Microsoft Office
  • Data Analytics
  • Advanced Excel Skills (queries, pivot tables, formulas, macros)
  • Financial Calculation of costs and taxes
  • Processing cash transaction
  • Data Management
  • Account management
  • Billing, Invoicing, Collection
  • Account Reconciliation
  • Financial Reporting
  • Budgeting and Forecasting
  • Accounts payable
  • Accounts receivable
  • Auditing
  • Expense reports
  • Advanced language knowledge
  • Advanced writing skills

Soft Skills

  • Time management
  • Multitasker
  • Responsible
  • Organized
  • Attention to detail

We offer

Our open-plan offices, are a hive of activity and creativity, and the close-knit nature of our team makes the office a special place.
During the Covid pandemic we were working remotely to keep our employees safe. We regularly assess and adapt to the situation. Currently, we are asking our employees to come in 1 day per week to our offices. Our view is in 2022 we will be able to return 2 days a week to the office, with the flexibility to work up to 3 days from home, fully implementing our Hybrid policy.