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Head of Finance

thrilltech.io

manager

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Manager
Seniority
thrilltech.io
Employer

Head of Finance We are looking for an experienced, commercially minded Head of Finance to take ownership of the finance function across our growing international business. The chosen applicant must be based in Cyprus or Gibraltar. This is a hands-on leadership role . The successful candidate will be equally comfortable working directly with the underlying financials, managing month-end and reviewing reconciliations as they are developing financial strategy, advising senior leadership and improving the financial infrastructure required to support the business as it scales.

As the senior finance owner within the business, you will have responsibility for financial control, reporting, planning, cash management, payroll, tax, revenue recognition and finance operations across multiple entities and jurisdictions. You will be expected to personally own and execute core finance activities while making effective use of external accountants, tax advisers, payroll providers and other specialists where appropriate.

Key Responsibilities Financial Leadership, Strategy & Planning • Act as the senior finance partner to the leadership team, providing clear financial insight to support commercial and strategic decision-making. • Lead the Group’s budgeting, forecasting and financial planning processes. • Develop financial models and scenario analysis to support growth initiatives and key business decisions. • Provide clear visibility of financial performance, risks, opportunities and cash requirements.

• Develop the financial processes, controls and reporting infrastructure required to support the continued growth of the business. Group Accounting, Consolidation & Financial Control • Own the end-to-end finance function across all Group entities. • Manage multi-currency general ledger accounting, month-end close, reconciliations and Group consolidation. • Produce accurate and timely monthly management accounts and financial reporting.

• Maintain the integrity of the P&L and balance sheet and ensure financial records remain audit-ready. • Establish and maintain appropriate financial policies, controls and approval processes. • Remain hands-on with the underlying accounting and finance operations where required. Revenue & Regulatory Reporting • Own B2B revenue reporting across multiple operating jurisdictions. • Ensure revenue is accurately attributed across customers, products, entities and regulated markets.

• Maintain appropriate revenue recognition policies and accrual-based accounting aligned with operational performance. • Oversee regulatory tax calculations and reporting associated with revenue across relevant gaming jurisdictions. • Ensure appropriate cross-border VAT treatment, working with specialist advisers where required. Corporate Tax & Compliance • Own the Group’s corporate tax strategy and compliance framework.

• Coordinate corporate tax requirements across multiple entities and jurisdictions. • Work with external tax advisers to ensure appropriate and commercially efficient tax treatment. • Oversee the financial and tax considerations associated with the Group’s software IP, including applicable IP regimes. • Ensure statutory tax filings and related financial obligations are completed accurately and on time.

Cash Flow & Working Capital • Own cash-flow management and forecasting across the Group. • Maintain appropriate short and medium-term cash forecasts to support business planning. • Manage accounts receivable, collections and working-capital performance. • Establish appropriate processes for overdue balances and formal write-offs. • Provide leadership with early visibility of material cash-flow risks or requirements.

Cost Centre & OpEx Management • Provide clear visibility of expenditure across departments and operational areas. • Maintain appropriate reporting across employee costs, international contractors, third-party services, software and tools, hardware and other operating expenditure. • Own the Group’s cost-centre struc

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