This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are seeking a strategic, detail-oriented, and proactive Sr. Finance Professional to oversee and strengthen financial operations across multiple business units. This role goes beyond traditional finance responsibilities, covering banking operations, financial analysis, system automation, and risk management, while working closely with HR, Marketing, and IT teams. You will play a key role in ensuring financial accuracy, enhancing operational efficiency, and delivering strategic, data-driven insights that support effective decision-making and sustainable business growth.
Job Responsibility:
Calculate and analyze customer value and retention metrics across all business units
Conduct business forecasting and budgeting, including cash flow, P&L, and financial projections
Monitor and manage company-wide cash flow, ensuring real-time visibility and automated updates
Present comprehensive financial statements (P&L and Balance Sheet) to management
Calculate and monitor key financial KPIs
Collaborate with cross-functional teams to plan, calculate, and implement promotional or incentive programs
Establish, implement, and enforce proper accounting methods, policies, and principles
Verify and reconcile financial transactions between the company and partners
Prepare and review monthly financial statements for each business unit
Conduct risk assessments and financial reviews
Ensure compliance with banking regulations and internal policies
Lead the implementation and training of new accounting software systems
Assist with tax, statutory filings, and regulatory compliance across jurisdictions
Manage fiat and crypto transfers (on/off ramp, exchanges, network fees, etc.) for stakeholders
Oversee safe and compliant international money transfers
Update and monitor bank arrangements and BMS to ensure accurate financial data
Research and benchmark payment gateway systems and other operational tools
Supervise daily finance operations handled by the finance team
Oversee cash rebate, bonus, commission, and salary calculations
Review and validate transactions during handovers and monthly closures
Approve and issue invoices, reconcile bank statements, and manage petty cash
Maintain fixed asset records and review expenditures for accuracy
Coordinate with HR and cross-functional teams for correct financial allocation
Requirements:
Bachelor’s degree in Accounting, Finance, or equivalent
Solid accounting and finance experience in multi-business-unit Environments
Proven ability to handle end-to-end accounting functions independently
Excellent command of English and MANDARIN for reporting and cross-team Communication
Advanced skills in Microsoft Excel and familiarity with accounting software systems
Strong understanding of bookkeeping, accounting principles, taxation, and financial Regulations
Strong understanding of e-wallet or credit systems
Experience in high-volume transaction reconciliation
Experience dealing with revenue-sharing partners
Strong analytical mindset with a proactive problem-solving attitude
Ability to manage pressure and work effectively under tight deadlines
Combines strong accounting expertise with the analytical, risk management, and strategic oversight skills of a business analyst and controller
Ability to build or enforce proper accounting SOPs
Ability to collaborate effectively with Finance, HR, Marketing, and IT teams
High attention to detail, accuracy, and confidentiality in all financial matters
Nice to have:
Basic understanding of bank operations, exchange rates, and crypto transactions Preferred
Prior experience in iGaming, payment gateway, fintech, or remittance companies is a Plus