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