ABOUT US:
We are seeking a highly analytical and detail-oriented finance professional to join our FP&A team. This role will support accounting-related valuations, financial planning & analysis, M&A activities, and external reporting. The ideal candidate will demonstrate strong financial modelling, reporting, and valuation expertise, as well as the ability to manage ad-hoc tasks in a fast-paced environment.
THE CHALLENGE:
Accounting-Related Valuation
- Prepare Purchase Price Allocation (PPA) for acquisitions or review PPA prepared by external consultants.
- Perform or review ad-hoc valuations requested by the accounting or finance departments.
- Conduct annual impairment and extraordinary testing, and quarterly reviews for impairment indicators.
- Coordinate with valuation outsourcers and provide necessary documentation and support.
Cash Flow Related Tasks
- Develop and maintain the 3-year Cash Flow (CF) and Balance Sheet (BS) plans.
- Prepare CF reporting and analysis for inclusion in management reports.
- Coordinate the preparation of the annual cash flow budget.
- Analyze and report cash flow variances (actuals vs. forecast/budget/prior year) at detailed levels (operating, investing, financing)
- Produce accurate and timely monthly cash flow forecasting and continuously improve cash flow forecasting processes, tools, and templates to enhance accuracy and efficiency
- Collaborate with departments (such as Accounting, FP&A, Treasury, Tax) to gather inputs and validate assumptions
Central FP&A Support
- Support the preparation of monthly management reports and flash reporting.
- Assist in the creation and analysis of Board-level financial presentations.
- Address ad-hoc requests from CFO, auditors, and other finance-related inquiries
M&A Related Tasks
- Collaborate with the M&A team on ad-hoc requests related to acquisitions or divestitures.
- Conduct financial due diligence and contribute financial inputs to future business cases.
Support External Reporting
- Contribute to the drafting and review of press releases and other external communication with the investor relations team
ABOUT YOU:
- Previous experience working with accounting related valuation is a must with around 5+ years of proven experience in working in a multinational business, “Big 4” or financial advisory.
- Previous experience within an FP&A function is desired but not essential, however experience with cash flow forecasting would be necessary
- Strong emphasis on quantitative business process analysis skills and ability to establish relationships between resources and their drivers.
- Demonstrated financial/operational analysis experience, P&L and Cash Flow with an emphasis on operational analysis of profitability drivers.
- Undergraduate degree in Business, Accounting or Finance is required; completion of a professional finance qualification or an MBA is an advantage.
- Fluent in English (written and spoken).
OUR OFFER:
- Be part of one of the fastest-growing digital sports companies in the world at the intersection of sports, betting, and advertising
- Work together with a highly motivated and enthusiastic core of people
- Exciting job field with the opportunity for personal development
- Home office and flexible working hours
- Team activities & tickets for sport events
OUR RECRUITMENT PROCESS:
- Initial Screening: A quick chat with our Talent Acquisition Partner to understand your background and expectations.
- Two Technical Interviews: Meet with the Technical team and later with the Hiring Manager to dive into your solution, as also discuss team fit.
- Onsite Interview: Meet with the local team and take a tour of our office for a final meet-and-greet.
- Finals Steps: Receive feedback and, if successful, an offer!