Finance Supervisor - Cash Management

Full Time
2 days ago

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

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.
Challenge accepted? By submitting your application, you understand that your personal data will be processed as set out in our Privacy Policy