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St. Julian's, Malta
Gaming Innovation Group is a leading iGaming platform At GiG, we utilise cutting-edge and scalable technology to drive continuous growth and deliver top-tier solutions to our partners and customers. We take pride in our commitment to excellence, personal growth, and recognition, making GiG an irresistible opportunity for those hungry for success. As a GiGster, you'll be surrounded by driven individuals who value ongoing learning and support. With our hybrid work approach, we cultivate an environment that truly nurtures the well-being and future of our people.
The role
You will be responsible for leading and managing the finance department. Reporting directly to the CFO, this position calls for a dynamic, ambitious, self-motivated person who enjoys working in a fast-growth tech environment, with enthusiasm for new challenges and the ability to lead and inspire the rest of the team.
This role will encompass all aspects of group financial reporting, from compilation of monthly management accounts to production of interim and year-end reporting for the Swedish stock exchange. This role works extremely closely with the senior management team and is a key business partner to our operational organisation, in particular the sales team.
Key Responsibilities
· Leading and developing a high-performing finance team, providing direction, coaching and support to achieve departmental goals and objectives.
· Preparation of accurate and timely internal and external financial reports, including monthly reporting pack, quarterly stock market results and the Company’s annual report.
· Identifying and mitigating financial risks through effective risk management strategies and implement an effective internal control framework.
· Overseeing the development of financial plans, budgets, and forecasts to support strategic decision-making and business goals.
· Managing cash flow, liquidity, and working capital to optimize financial resources and support operational needs.
· Lead the audit process, liaise with external auditors and prepare all necessary reporting and documentation for the audit.
· Develop and implement continuous improvement of systems and processes that will enhance the quality, timeliness and availability of financial data.
· Direct and indirect management of a team of 13 finance professionals across Malta, Spain and France.
· Overall ownership of the Group accounting system, Dynamics.
What you’ll need
· 4+ years post qualified experience.
· Proven experience of applying IFRS technical accounting and financial reporting in a regulated environment.
· Experience of external financial reporting under IFRS.
· Experience in group consolidation compilation.
· Experience in compilation of management accounts and other internal reporting.
· Chartered Accountant (ACA/ACCA or equivalent).
· Hands-on and positive attitude – the will to give everything a go, from writing accounting technical papers to cross-company global projects.
· Excellent organisation skills: the ability to plan and organise work efficiently.
· Excellent accounting software user and administration skills.
· Experience as a manager of other finance professionals.
Benefits:
· Exciting opportunities for career advancement.
· Benefit from a hybrid working model.
· Receive a comprehensive training package and access to development opportunities.
· Enjoy comprehensive international health insurance coverage.
· Take care of your health and well-being with a wellness package (350 EUR per year).
· Have a day off to celebrate your birthday.
· Take a personal day off just for yourself (Me-time).
· Enjoy free office lunches.
· Benefit from free parking.
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