We are the investment fund NetSolid Investments, based in Ukraine, and focused on the development of digital projects in Western markets, with a primary focus on SMART investments.
Our partner, the international company SlotCatalog, specializes in providing comprehensive and modern solutions for the iGambling industry. Based on a powerful platform, they have successfully launched a popular online service for both amateur and professional players.
The company is growing rapidly and is now looking for a Finance Manager plays a critical role in ensuring the financial health, sustainability, clear and relaible reporting process, as well as and strategic growth.
What makes this position unique?
You will become a key player in the SlotCatalog team, which is the largest website in the world by the number of casino games in its database!
The mission of SlotCatalog is to provide comprehensive answers to two simple questions: “What to play? Where to play?”
Our requirements:
- Experience of at least 3 years;
- Experience in preparing P&L, Balance Sheet, and Cash Flow reports,dashboarding tools;
- Background in month-end and year-end closing processes;
- Knowledge in building and managing budgets across departments;
- Skill in Financial modeling and variance analysis (actuals vs. budget);
- Proficiency in systems like QuickBooks, Xero (would be an advantage);
- Experience in payment scheduling and liquidity planning;
- Experience in implementing financial controls, documenting and optimizing financial processes;
- Strong knowledge of IFRS and/or local GAAP.
Your area of responsibility:
- Managing the process of closing management reporting;
- Preparing budgets and organizing financial flows;
- Managing receivables and payables;
- Auditing cash flows, payment solutions, and fund distribution across entities;
- Planning and monitoring cash flow;
- Supporting dividend payments and calculations per policy;
- Monitoring bank balances and card limits to avoid liquidity issues;
- Managing risks related to payments and receivables;
- Auditing P&L, Balance Sheet, and reporting processes;
- Setting up financial accounting in QuickBooks;
- Implementing daily and monthly closing processes;
- Enhancing financial aspects of project operations;
- Conducting Plan vs. Actual analysis and tracking key metrics;
- Handling ad-hoc financial tasks;
- Building monthly reporting processes for departments;
- Calculating and reconciling payroll and bonuses.
We offer:
- The full-time remote format allows you to create a comfortable work environment at home or anywhere else;
- Full-time position and flexible working hours, so you can manage everything that’s important to you;
- For a full life and relaxation, we offer 24 days of paid vacation and a day off on your Birthday;
- We care about your well-being, so in case of illness, we offer paid sick leave to help you recover and return to work in the best shape;
- English language courses for learning and maintaining your skills.
Getting to know us:
Recruiter call → Test task → Hard skills interview→ Final interview → Job offer!
Become part of our team that turns ideas into success together! ❤️
⭐️ Learn more about us: Facebook ➡️ Instagram ➡️ LinkedIn
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