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Treasury Manager (Europe) in Pro Gaming Software, LTD

Posted more than 30 days ago

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Pro Gaming Software, LTD

Pro Gaming Software, LTD

0
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2 years
Full-time work
We are a dynamic iGaming company with 10+ well-known B2C gaming brands. Our company was founded more than 3 years ago by a group of talented top managers, and now we have 800+ people! We are regular participants of international conferences, our brands enjoy respect and popularity among customers. In connection with the growth and expansion of the company, we are looking for an experienced Treasury Manager to join the team, who will effectively manage the company's cash flows, to ensure its solv
We are a dynamic iGaming company with 10+ well-known B2C gaming brands. Our company was founded more than 3 years ago by a group of talented top managers, and now we have 800+ people! We are regular participants of international conferences, our brands enjoy respect and popularity among customers. In connection with the growth and expansion of the company, we are looking for an experienced Treasury Manager to join the team, who will effectively manage the company's cash flows, to ensure its solvency and minimize the risks of deficit or excess liquidity. We offer: Stable salary; Work schedule from 10.00 a.m. to 7.00 p.m. GMT+3) Absence of micro-management and quick decision-making in the company Paid sick and vacation days Classy and creative gifts for holidays and important events The opportunity to participate in internal company events: open negotiations, product meetings and trainings on the development of soft skills Propose and implement your ideas for improving processes department's main functionality: Management of daily financial operations, including accounting and control of income and expenses, construction of a payment calendar. Development and implementation of liquidity management strategies. Management of company accounts, work with PSP. Monitoring and management of financial risks, in particular currency and interest risks. Preparation of financial reports and analysis of financial performance. Expectations from you: Higher education in the field of finance, economics or a related specialty; High level of Excel, Google Sheets skills. Work experience in a similar position for at least 3 years; Deep knowledge in the field of corporate finance and liquidity management; Financial market analysis skills and investments; Excellent communication and organizational skills; Ability to work under conditions of high responsibility and strict adherence to deadlines.
2 years
Full-time work
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