Company is an international iGaming product business focused on delivering immersive casino entertainment experiences for global audiences. The company develops and operates a broad portfolio of live casino, RNG, and slot products with a strong emphasis on product quality, operational reliability, and engaging player experiences.
The business works with partners across multiple markets, helping them strengthen user engagement and long-term product performance through scalable gaming solutions and premium visual production.
Key Responsibilities
Global Finance Operations
- Lead and coordinate the finance function across several international entities and regulated jurisdictions, including EU-facing operations
- Take full ownership of financial accounting and statutory reporting processes, ensuring compliance with local tax legislation, international standards, and regulatory obligations
- Coordinate communication with external regulators, local advisors, and finance stakeholders when required
- Ensure financial compliance related to licensing, AML frameworks, and industry-specific regulatory requirements
- Oversee intercompany flows, transfer pricing activities, and tax-efficient corporate structuring initiatives
- Collaborate closely with Legal and operational leadership to maintain clear ownership across financial and compliance processes
- Manage relationships with local finance teams, accounting leads, external auditors, and outsourced finance providers
Strategic Finance, Reporting & Analytics
- Partner with executive stakeholders on growth strategy, operational scaling, and international expansion initiatives
- Build financial models supporting strategic decisions such as market expansion, studio launches, infrastructure investments, and commercial partnerships
- Own consolidated management reporting across the Group structure
- Lead budgeting cycles, forecasting processes, and company-wide financial planning activities
- Drive business performance analysis and financial visibility across multiple business units
- Monitor and interpret operational KPIs, providing actionable insights to senior leadership
- Develop unit economics frameworks and profitability analysis across products, regions, and B2B partnerships
- Analyze key commercial metrics including revenue performance, ROI, LTV, CAC, and operational efficiency indicators
- Support shareholder reporting activities, dividend planning, and profit allocation processes
Treasury & Cash Management
- Oversee banking operations and maintain strategic banking relationships
- Manage liquidity planning and optimize cash flow across entities
- Ensure efficient and reliable payment infrastructure across the Group
Finance Processes & Controls
- Design and improve internal financial controls, governance standards, and risk management frameworks
- Optimize and scale finance operations within a high-growth environment
- Lead ERP implementation initiatives and finance automation projects, including Odoo-related process development
What Company Offers
- Opportunity to influence and shape finance operations within a growing international business
- High-impact responsibilities with direct exposure to executive decision-making
- 21 paid vacation days, additional flexible personal days, and paid sick leave
• Wellness and benefit support package
- Performance-based annual bonus structure tied to both company and individual results
