CFO

Back Ref: VAC-10582 Finance Malta

We are looking for an experienced gaming financial professional for a new Group CFO position based in Malta. This role will be managing localized financial departments across a number of different companies and locations.

We are looking for someone that has a proven track record in people management and has developed talent internally. This role will be sitting at board level reporting to the CEO and stakeholders.

Key responsibilities:

  • Ownership of key financial processes such as forecasting, budgeting and KPI reporting
  • Maintain accurate and reliable accounting records in accordance with IFRS standards
  • Ensure all regulatory filings to licensing authorities are completed on time – monthly player
    liabilities, management accounts etc.
  • Ownership of all accounting requirements across group companies in all territories
  • Liaise with company auditors for yearly statutory accounts
  • Work with external accounting providers in different territories to maintain accurate &
    timely accounting including inter-company reconciliations
  • Develop plan to in-house various accounting functions that are currently provided by
    external partners
  • Conduct reviews and evaluations for income, cash flow and expenditure and maintain strong
    cost control
  • Oversee cash flow management and planning for short term and long term
  • Prepare management accounting pack on a monthly basis
  • Analyze the company’s actual performance compared to business plans and budgets
  • Present and explain for group or subsidiaries the financial statements, goals, processes,
    budgets, activity to different stakeholders (management, board, investors, etc)
  • Develop the current finance team by setting clear roles and objectives for all team members
  • Oversee a continuous drive towards automation of all possible processes in the finance
    department including reporting, invoicing, analysis
  • Lead and inform all aspects of the organization in relation to financial accountabilities,
    deliverables, risk and budgetary requirements
  • Oversee tax management and planning on group and company level to ensure tax
    optimization
  • Be the main contact with the Group’s banks
  • Work with the CEO to shape the overall strategy and direction of the operational business
  • Take part in M&A and financing activities for further strengthening of the Group
  • Lead Investor Relations and submit reports to different stakeholders

Interested? Get in touch.

Anthony Hennessy

Subscribe

Top