Finance Manager

Strivegaming

Greater London

Hybrid

GBP 65,000 - 90,000

Full time

14 days+
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Job summary

Strive Gaming, a leading B2B iGaming platform provider, seeks a Finance Manager to oversee day-to-day finance operations and strategic planning for UK, Malta, and Canada entities. You will manage budgeting, P&L, and cashflow while guiding executives with board-ready analyses.

The role demands hands-on financial leadership, strong modelling, and exceptional communication as the company scales across international markets and currencies, including USD, EUR, CAN, and GBP.

Qualifications

  • Fully qualified accountant with 3+ years post-qualified experience.
  • Strong analytical and financial modelling skills.
  • Advanced Excel skills.
  • Experience in management reporting, budgeting and forecasting across multi-country operations (USD, EUR, CAN, GBP).
  • Excellent communication skills.
  • Experience in the iGaming industry is a plus.

Responsibilities

  • Budgeting, forecasting, maintenance of P&L and cashflow.
  • Support executives with board presentations and memos.
  • Develop KPIs to monitor health of group and report monthly.
  • Manage international banking relationships across UK, Malta and Canada.
  • Oversee international payroll across multiple jurisdictions.
  • Lead cost reduction initiatives and tooling improvements.
  • Invoicing and consolidation responsibilities.
  • Assist with financial reporting for clients and investors.
  • Lead risk assessments from financial and tax perspectives.

Skills

Financial modelling
Advanced Excel
Management reporting
Budgeting & forecasting
Currency management
Communication skills
iGaming industry knowledge

Education

Fully qualified accountant

Job description

Reports To: CEO
Location: London, UK | Malta, Europe | REMOTE

Job Overview:
The Finance Manager is a critical role for Strive Gaming a leading B2B iGaming platform
provider in North America with customers such as Golden Nugget (DraftKings), Playstar
Casino, Delta Bingo & Casino, Four Winds and beyond.
The role would suit someone who is able to focus on the day to day administration of a finance
function as well as the more strategic financial planning and reporting, with the ability to
contribute to corporate strategy decisions. The role would suit someone who is not afraid to get
very hands on operationally in the role as well as strategically.
The role has one financial administrator reporting into them and third parties to support in the
relevant corporation locations of the UK, Malta and Canada.

Responsibilities & Duties
  • Responsible for accurate budgeting, forecasting, maintenance of overall company P&L,
    cashflow.
  • Support executives by driving board presentation and memo creation.
  • Strong financial planning to create maximum financial efficiencies for a group of
    companies working in between each other and with our clients.
  • Create sustainable and clearly measurable KPIs to track the health of the group of
    companies to present to the executive team every month.
  • Be responsible for all banking relationships including the establishing and good health
    maintenance of bank accounts and good stewardship globally as it pertains to all our
    subsidiaries.
  • Be responsible for an international payroll across multiple jurisdictions using
    specialist 3 rd party providers.
  • Champion cost reduction initiatives, always looking for opportunities and
    challenging the business.
  • Be responsible for all invoicing and consolidation.
  • Source good financial tools that will help the business become more effective at internal
    business reporting, management accounting, business decision making through to the
    more administrative side such as expenses.
  • Support executives in any financial presentation and documentation for relevant clients or
    investors as may be required from time to time.
  • Lead continuous risk assessments from a financial and tax perspective – utilizing
    specialist third party assistance where need be.
Requirements
  • Fully qualified accountant with 3+ years relevant post qualified experience
  • Strong analytical and financial modelling skills
  • Advanced Excel Skills
  • Significant skill set in and proven experience in management reporting, budgeting and
    forecasting experience for companies that have offices and customers in multiple
    different countries (experience working with USD, EUR, CAN, GBP currencies ideal).
  • Comfortable working in a high growth businesses where some staff where multiple hats
    to get stuff done
  • Proven record on delivering cost reduction either through HR or Operations is
    highly desired
  • Knowledgeable on due diligence processes
  • Excellent communication skills
  • Experience in the iGaming industry is a plus
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