Finance & Treasury Executive role at a dynamic financial institution, supporting daily financial operations and managing operational treasury activities. The role blends hands-on financial operations, treasury management, and process automation.
Requirements
- A degree in Accountancy, Finance, or a related field.
- A minimum of 3 to 5 years of progressive experience in an audit or accounting role.
- Experience working with or auditing clients in the financial services, fintech, banking, or iGaming sectors is highly desirable.
- A strong understanding of core accounting principles, financial reconciliations, and reporting processes.
- Advanced proficiency in Excel or financial modelling, combined with an interest in leveraging modern finance and automation tools.
- A process-builder mindset with the ability to create scalable systems rather than relying on manual workflows.
- Excellent attention to detail and a high level of accuracy, with strong analytical skills to resolve complex reconciliation issues.
- Familiarity with regulated environments (MFSA or other financial regulators) and the operational dynamics of payment platforms would be beneficial.
Benefits
- Competitive Compensation
- Work-Life Balance