• Malta
  • Finance & Control

Finance Supervisor – Cash Management

Exciting Opportunity to Join Betsson Group as a Finance Supervisor for the Cash Management team!

Apply Now!

Please fill out the following form. After you have completed your application an email will be sent to you with relevant information.

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We are looking for a Finance Supervisor to oversee the smooth operation of day-to-day treasury functions and ensure that accounting is kept up to date.

What You’ll Be Doing:

  • Analyzing and forecasting daily cash balances to ensure sufficient funds are available for ongoing operational needs.
  • Generating cash flow reports and assisting with cash flow forecasting, collaborating with other finance teams (including PSP) to improve these processes.
  • Managing day-to-day banking tasks and queries within Betsson Group, including handling FX exposures and executing currency hedging agreements as needed.
  • Working with the Corporate Services team to set up banking facilities and ensure all banking and signatory requirements are current.
  • Ensuring compliance with cash-related licensing requirements across jurisdictions where Betsson operates, including MGA policies (such as the MGA Player Liability Report), as well as internal Treasury Services policies and procedures.
  • Preparing calculations related to IFRS 9 Financial Instruments, specifically for expected loss provisioning.
  • Performing and/or reviewing month-end reconciliations and reporting, including balance revaluations, and ensuring financial records are accurate for the relevant areas.
  • Assisting in the development and improvement of internal policies and controls for treasury functions, and monitoring adherence to these policies.
  • Liaising with auditors during the audit process and supporting the preparation of financial statements.
  • Assisting with ad-hoc reporting and requests as needed.

What We’re Looking For:

  • Ability to work in a dynamic environment, managing priorities while ensuring accuracy and completeness in all deliverables.
  • Strong problem-solving skills, with the ability to work independently and communicate solutions effectively, while maintaining a focus on business priorities.
  • Analytical mindset with a collaborative, team-oriented approach.
  • Experience in the iGaming industry is a plus.
  • Previous experience in treasury accounting and cash flow planning is an asset.
  • Proficiency in Microsoft Office tools, including Excel, Outlook, and Word.
  • Fluency in English.
  • An accounting qualification (ACCA or equivalent) is required.

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