- Hybrid working
- Allowances
- Health insurance
A well established international gaming company is looking to hire a Treasury Analyst to join their growing Malta based team.
Responsibilities: - Prepare daily cash forecasts and reports, monitor liquidity, and manage payments and intercompany funding.
- Execute FX transactions and propose FX and funding strategies.
- Oversee debt facilities, including drawdowns, repayments, and supplier financing.
- Support treasury-related queries and cross-functional projects.
- Identify and implement process improvements in treasury controls and reporting.
Requirements: - Experience in a finance role, ideally within the iGaming sector.
- Eagerness to develop treasury expertise and pursue relevant qualifications (e.g. ACT).
- Strong communication skills and attention to detail.
- Proactive team player who thrives in a dynamic environment.