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We are Kaizen Gaming Kaizen Gaming is the leading GameTech company in Greece and one of the fastest-growing in Europe, with the Stoiximan brand in Greece and Cyprus and Betano in Germany, Romania, Bulgaria, Czech Republic, Portugal, Brazil, Chile, Peru, Ecuador and Canada. Our aim is to leverage cutting-edge Technology in order to provide the optimum experience to those who trust us for their entertainment.Let's start with the role This role is an exciting opportunity to join the Treasury team and help maintain the financial soundness of the organization. Preparing treasury reports, cash & liquidity management, overseeing the payment process, risk management and participating in projects for system automations are part of the daily agenda. Responsibilities Participating in cash & liquidity management for all Kaizen Group entities. Supporting CF forecasting process. Overseeing and optimizing the payment process. Accurately monitoring bank accounts and e-wallet balances to ensure liquidity and compliance with regulatory requirements. Participating in short-term investment facilities management. Supporting the development of processes and strategies to mitigate FX and operational risks. Actively participating in the Treasury Management System implementation project and exploiting improvements of treasury processes and systems. Handling processes related to bank and PSPs account opening, KYC, due diligence requests, and corporate guarantees to support the international expansion plan. Preparing dashboards (FX exposure, bank fees, short-term investments) and ad hoc reports to the top management. Supporting the accounting department with the annual financial audit and providing the necessary feedback to auditor’s requests. Maintaining good relationships, both internally and externally at all levels Other ad hoc duties. Requirements Bachelor’s degree in Finance, Accounting or Business. A Master’s degree in Finance or Banking will be appreciated. Minimum of four years of relevant working experience in a relevant position in a corporate international environment. Nice to Have Prior experience in TMS implementation will be highly appreciated. A Treasury certification will be considered an asset. Prior experience in FX risk management and hedging. Excellent computer skills with practical experience with computerized accounting/financial systems. Ability to work with numbers, accuracy, reliability and integrity are required. Excellent oral and written communication skills in English and the local language. Ability to establish and maintain effective working relations with people of different national, ethnic and cultural backgrounds. Recruitment Privacy Notice Regarding the data you share with us, you may find and read our recruitment privacy notice here.
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