Kombine Tech is a B2B ecosystem company and B2C projects in the field of iGaming. We combine ambitious and proactive teams with our in-house expertise to achieve big goals and build successful businesses at any stage of development.In connection with the expansion of the financial team, we are looking for a Financial Manager. The focus of this role will be treasury operations management as well as financial reporting and analysis.Why we will be interested:- Interesting challenges, the ability t
Kombine Tech is a B2B ecosystem company and B2C projects in the field of iGaming. We combine ambitious and proactive teams with our in-house expertise to achieve big goals and build successful businesses at any stage of development.
In connection with the expansion of the financial team, we are looking for a Financial Manager. The focus of this role will be treasury operations management as well as financial reporting and analysis.
Why we will be interested:
- Interesting challenges, the ability to implement processes and immediately see the result of your works;
— Experienced and ambitious team;
— Absence of unnecessary bureaucracy.
What will need to be done:
Treasury operations
- Managing treasury operations and monitoring cash flows.
- Maintaining relationships with various financial providers and financial institutions.
Cash Flow Management
- Control of liquidity and financial stability of the company.
- Analysis and optimization of financial flows.
Financial reporting and analytics
- Preparation of financial statements (P&L, CF, BS).
- Conducting in-depth financial analysis for decision-making.
- Ensuring compliance of financial statements with regulatory standards.
Interaction with external partners
- Maintenance of partnerships with banks, providers and financial institutions.
- Compliance with financial and regulatory requirements in cooperation with partners.
- Teamwork and strategic support .
- Collaboration with the finance team to achieve overall company goals.
- Providing recommendations on treasury operations.
Requirements:
- Bachelor's degree in finance, accounting or related field.
- 3+ years of experience in treasury operations, financial reporting or similar financial position.
- Experience in budgeting and forecasting.
- Considerable experience in working with financial reporting, analysis andand payment methods.
- Proficiency in financial management software, including QuickBooks Online (QBO) and MS Excel (advanced formulas).
- In-depth knowledge of corporate financial law and risk management.
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- Excellent analytical skills with attention to detail and strategic thinking.
- Proficiency in English Intermediate+.
Briefly about the conditions:
— The possibility to work remotely from any location and a flexible schedule;
— Standard benefits (vacation, sick leave, days off, training etc.).
If you constantly expect the best results from yourself and are ready to be part of a team that moves the market forward -join !