Our client is an established iGaming operator and this role reports to the Head of Finance.
Responsible for the monthly revenue accounting close, including PSP reconciliations and inter-company invoicing. Drive process improvements through automation.
Perform monthly, quarterly and year-end closing Group consolidation, and prepare appropriate financial statements.
Responsible for the implementation and monitoring of Transfer Pricing policies.
In charge of inter-company transactions and reconciliation.
Assist in the yearly audit and act as backup for other team members.
Assist with implementing and maintaining internal financial controls and procedures.
Monitor, recommend, and implement improvements to current methodologies & practices.
Perform other ad hoc analysis and tasks as may be required.
Work experience from the iGaming industry - Preferably B2C
Proven experience in Group consolidation reporting
Fluent written and spoken English
Advanced Excel skills
Detail-oriented, strong communication skills