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Treasury Manager

Gambling.com Group

Gambling.com Group

Accounting & Finance
Ireland · United Kingdom · Remote
Posted on Sep 26, 2024

Gambling.com Group (Nasdaq: GAMB) is looking for talented individuals to join its diverse and growing team in Europe. Through a portfolio of brands -- including flagship website Gambling.com, as well as Bookies.com and the new Casinos.com -- Gambling.com Group helps online gamblers start their consumer journey with confidence by delivering best-in-class content featuring expert analysis, independent reviews, news, tips, odds comparisons and more.

The Group has positioned itself as one of Europe’s premier performance marketing companies and is one of the leaders in responsible player acquisition across the regulated, global online gambling industry. The Group has won nearly every award in the gambling affiliate industry for sports and casino, and is a two-time winner of the prestigious EGR Affiliate of the Year award.

Europe remains a key market of focus for the Group as it continues its period of exciting growth this year. The Group has offices in Dublin, its EU headquarters, and Malta.

Join our dynamic and expanding team at Gambling.com Group (Nasdaq: GAMB) in Europe. As leaders in the online gambling industry, our portfolio of brands, including flagship website Gambling.com, alongside Bookies.com and Casinos.com, empowers online gamblers with trusted content, expert analysis, and comprehensive resources.

Founded in 2006, Gambling.com Group is renowned as a premier global performance marketing company in Europe, leading the way in responsible player acquisition across the regulated global online gambling sector.

As we continue our exciting period of growth in 2024, Europe remains a key focus area for us, as noted by the Financial Times in their annual FT1000 ranking as we’re recognized as one of Europe’s fastest-growing companies! With offices in Dublin, serving as our EU headquarters, and presence in Malta and Serbia, we invite talented individuals to join us on our journey to redefine excellence in the online gambling industry.

We are seeking a meticulous and experienced Treasury Manager to join our Finance Ops & Planning team. The Treasury Manager will play a crucial role in overseeing the group’s treasury function including managing relationships with the companies banks and lenders, implement and manage cash forecasting models, ensure sufficient funds are available to meet ongoing operational requirements, and oversee related, policy, risk and controls. This role requires excellent organizational skills, a keen attention to detail, communication skills and the ability to partner with business stakeholders as well as a strong understanding of treasury processes.

Responsibilities

Policy Development:

    • Implement and manage and monitor treasury policies

Cash Management:

    • Ensure sufficient funds available to meet operational and capital requirements across entities and currencies
    • Forecast cash positions, related borrowing needs, and funds available for investment

Forecasting and internal reporting

    • Implement and manage cash-flow forecasting models
    • Provide regular liquidity reports and forecasts to VP / CFO

Investment Management:

    • Manage excess liquidity investments in accordance with treasury policies

Risk Management:

    • Manage and monitor FX, and interest risk in accordance with treasury policies

Controls

    • Approve ledger entries by auditing relevant transactions
    • Support external audit providing information and responses to auditors

Banking Partnerships:

    • Maintain relationships with banks and other financial institutions, identify opportunities to better utilize bank services
    • Ensure streamlined data flows from our banking partners to ERP system to support P2P and OTC processes

Debt Management:

    • Monitor and forecast loans, capital leases, and credit line usage
    • Ensure compliance with credit agreements including external reporting on compliance with covenants.

Requirements

  • Professional accounting or treasury qualifications, with at least 5 years of relevant treasury experience.
  • Strong financial acumen and knowledge of financial markets, instruments, and treasury processes
  • ERP experience, NetSuite preferred
  • Strong analytical, conceptual, and planning skills
  • Excellent verbal and written communication skills
  • Strong time management, organisational and multi-tasking skills.
  • Ability to communicate effectively and work collaboratively with internal and external stakeholders.
  • Proficient in financial modelling, MS Office and use of treasury management systems.

Perks and Benefits

  • Employee Stock Purchase Program
  • Comprehensive private Healthcare Insurance
  • Flexible work environment with the option for remote work
  • Lifestyle Allowance/Lifestyle Spending Account
  • Hardware and software
  • Regular company events, including seasonal parties and sports & social outings.
  • Access to courses for Personal and Career Development
  • Company Paid Volunteer Day