We are seeking a highly driven and detail-oriented Finance and Treasury Manager to oversee the full spectrum of treasury operations and finance-related activities across the Group’s B2B vertical. The ideal candidate will play a pivotal role in optimizing cash and liquidity management, ensuring financial controls, driving process improvements, and supporting strategic financial planning and reporting.
This is a critical role that bridges financial operations and strategic treasury management, providing high visibility across internal departments and external financial institutions.
Key Responsibilities
Treasury Management
- Manage day-to-day cash and liquidity across all business entities and jurisdictions.
- Prepare and maintain weekly and monthly cash flow forecasts to ensure adequate liquidity for operations and investments.
- Monitor incoming payments, balances, and e-wallet positions, ensuring optimal fund allocation.
- Build and maintain strong relationships with banks, and other financial institutions.
- Establish and manage banking relationships and negotiate optimal terms, including FX and transaction fees.
- Support FX risk management by analyzing exposures and recommending hedging strategies.
- Recommend and evaluate interest-bearing investment options to ensure optimal returns on excess cash balances
- Develop, implement, and maintain treasury controls, procedures, and policies aligned with best practices.
- Assist with treasury-related requirements during audits, funding rounds, and regulatory reviews.
Finance Management
- Lead month-end closing activities, reconciliations, and intercompany reporting.
- Support the preparation of management accounts, financial dashboards, and variance analysis.
- Ensure compliance with local regulations and Group policies in all financial operations.
- Identify and implement process improvements to enhance efficiency and accuracy in reporting.
- Coordinate with tax, legal, and compliance functions to support overall financial governance.
- Support the Group audit process by preparing relevant schedules, reconciliations, and documentation
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related field (Master’s or professional certification such as ACCA, CPA, CFA is a plus).
- Minimum 5 years of experience in finance and treasury, ideally within the iGaming, tech, or FinTech sectors.
- Proven experience in cash management, banking operations, and financial reporting.
- Solid understanding of multi-currency environments, payment flows, and PSP/e-wallet mechanisms.
- Strong analytical and financial modelling skills with advanced Excel/Google Sheets proficiency.
- Hands-on experience with ERP systems (e.g., Navision is a plus).
- Excellent communication and stakeholder management skills.
- High attention to detail, proactive mindset, and the ability to work under pressure in a dynamic industry.
Benefits
- Great career development opportunities
- Hybrid working model
- International Health Insurance
- Health and Wellbeing Package (350 EUR per year)
- Birthday Day Off
- Me Time - 1 day off per year
At GiG, we believe that diversity and inclusion are fundamental to our success as a multinational organization. We are committed to fostering a workplace where every employee feels valued and respected, regardless of their background, ethnicity, gender, age, or any other characteristic that makes them unique. By embracing a wide range of perspectives and experiences, we drive innovation, enhance collaboration, and build a stronger, more resilient company. Our diversity and inclusion initiatives aim to create an environment where everyone can thrive and contribute their best work, ensuring that our workforce reflects the diverse global communities we serve.