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Financial Manager

· remote · middle · full-time
fintechigamingtech financial planningbudgetingforecastingfinancial analysisExcelGoogle Sheetsfinancial modelingcost controlprofitability analysisPower BITableauSQL
6.1
AI Score
The vacancy is well-defined in tasks and requirements but lacks clarity in compensation and company information.
no company infounrealistic salary
Job description
We are looking for an experienced Financial Manager to handle financial planning, budgeting, forecasting, and analytics for our iGaming project. The role involves working with large data volumes and assisting the business in decision-making based on financial insights.
Responsibilities
• Coordinate the preparation of annual, quarterly, and monthly budgets; • Develop and update financial forecasts and business plans; • Analyze plan-fact and prepare comments on deviations; • Consolidate weekly budget updates; • Prepare management reporting and analytical materials for management; • Analyze the company's financial indicators and key business metrics; • Control expenses and compliance with approved budgets; • Conduct profitability analysis by products, projects, departments, and business units; • Build and maintain financial models for planning and decision-making; • Perform scenario analysis and assess the financial impact of new initiatives; • Collect, verify, and consolidate financial data from various sources; • Identify financial risks, deviations, and areas requiring management attention; • Work with department heads as a financial business partner; • Improve and automate financial planning and reporting processes; • Verify and approve payment requests in internal systems; • Validate payments to affiliate partners; • Calculate incentive payouts for VIP and Affiliate teams; • Verify bonus calculations for other departments as needed; • Analyze and optimize payment infrastructure expenses; • Participate in improving payment routing and cascading strategies; • Prepare reports on the effectiveness of payment providers and related costs.
Requirements
• Experience in FP&A, financial analysis, controlling, or a similar financial role for at least 3 years; • Higher education in finance, economics, accounting, or a related field; • Strong experience in budgeting, forecasting, and management reporting; • Advanced financial modeling skills; • Proficient in Excel and/or Google Sheets; • Ability to work with large data volumes and pay attention to details; • Strong analytical skills and ability to find causal relationships in numbers; • Understanding of cost control, profitability analysis, and financial KPIs; • Ability to present financial conclusions clearly to the business; • Good communication skills and experience working with stakeholders; • Ability to prioritize and work in a dynamic environment; • English at Upper-Intermediate level or higher.
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