We are no longer accepting applications for this role but we encourage you to send us an unsolicited application here: https://whitelabelcasinos.bamboohr.com/careers/119
White Label Casinos is looking for a Treasury Manager to join our enthusiastic and motivated team! This will be a full-time position with the option of working remotely or from our Malta office.
Who We Are
What exactly do we do here at White Label Casinos? Well, that’s easy! We make white label casinos that players love. And that’s it! That’s literally our bread and butter. And we’re damn good at it.
By utilizing our all-in-one casino solution, we’re able to create online casinos for our clients that stand out from the crowd. Because our casinos have flair, they have pizzaz, they have the IT factor that players are looking for. Did we mention we’re modest?
By choosing to work with us, your casino will come fully equipped with features that will set you up for success from day one. Your casino will be multi-licensed, loaded with more than 7,500 hit games, and our team of 140+ iGaming specialists will provide you with a range of managed services that’ll help make operating your casino.
Headquartered in Malta with remote employees all around the world.
Position Summary
The treasury manager will be responsible for managing the financial and monetary aspects of a business, which includes but is not limited to cash flow and funding.
Key Responsibilities
- Manage and supervise the daily cash flow operations within White Label Casinos, ensuring accurate and timely reconciliation of all financial transactions.
- Implement effective cash management procedures and controls to safeguard assets and minimize risks.
- Monitor cash flow and liquidity positions to optimize funding requirements and maintain adequate cash reserves.
- Handle and monitor daily reconciliations.
- Conduct regular audits of our cash management systems and processes to ensure compliance with established policies and procedures.
- Coordinate with various departments, such as Payment Product, Accounting, and Compliance, to reconcile funds and resolve discrepancies.
- Review and analyse financial data, including revenue reports, bank statements, and general ledger accounts, to identify discrepancies and irregularities.
- Prepare detailed financial reports, including cash flow statements, variance analyses, and financial forecasts.
- Collaborate with external auditors to facilitate the audit process and ensure compliance with regulatory requirements.
- Stay updated on industry trends, regulatory changes, and best practices related to treasury management and financial reconciliation.
- Train and mentor, a Treasury Team on best practices within the reconciliation department.
- Any other duties that are required by the company to facilitate the role of Treasury Manager.
Requirements
- Professional Certificate in Finance, Accounting, or a related field.
- Proven experience in treasury management, cash handling, and financial reconciliation, preferably within the casino or gaming industry.
- Strong knowledge of financial systems, banking processes, and internal controls.
- Proficient in using financial software and MS Office applications, particularly Excel.
- Excellent analytical and problem-solving skills, with meticulous attention to detail.
- Effective communication and interpersonal skills to collaborate with cross-functional teams.
- Ability to work under pressure, meet tight deadlines, and adapt to a fast-paced casino environment.
- Understanding of relevant regulatory guidelines and compliance requirements.
- Demonstrated leadership abilities and experience in managing a team.
Preferred but not a necessity:
- Professional certifications (e.g., Certified Treasury Professional) are a plus.