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Management Accountant

Job Description

Gambling.com Group is looking for talented individuals to join its diverse and growing team in Europe. Through a portfolio of brands including gambling.com, bookmakers.co.uk, casinosource.co.uk and many more, Gambling.com Group helps online gamblers start their consumer journey with confidence by delivering best-in-class content, including expert analysis, reviews, news, tips, odds comparisons and more.

The Group was founded more than 12 years ago and has positioned itself as one of Europe’s primary performance marketing companies, leading the way in responsible player acquisition across the regulated, global online gambling industry. The Group has offices in Dublin (EU HQ), Malta as well as a new and growing U.S. HQ in Charlotte, North Carolina. As online sports betting in the U.S. continues to roll out at an exponential pace, Europe remains a key market of focus for the Group, which is experiencing a period of exciting growth on both sides of the Atlantic.

This is an opportunity for the successful candidate, to demonstrate possession of the necessary management skills, to grow and develop within an expanding team with a high growth organisation.

They will be responsible and have operational accountability for the following:

  • The day-to-day operations of the company’s financial reporting system, including liaising with, and the supervision of other members of the financial team
  • Producing, reviewing, and monitoring monthly management accounts
  • Develop revenue recognition policies according to company procedures and regulations
  • Perform revenue recognition and reporting activities on monthly basis
  • The preparation of the annual financial profit and loss account and balance sheet for audit
  • The supervision of the executive payroll monthly
  • Monitoring and providing assistance in the tax and regulatory reporting. requirements of local companies. Ensuring transfer pricing processes are followed and documented
  • Managing the debtors schedule with assistance from the finance team
  • Cash flow forecasting with analysis and commentary
  • Liaising on an ongoing basis with a number of different departments in the business to identify opportunities to reduce costs and to provide relevant and timely financial information to allow strategic decisions to be made

Requirements

The candidate should have:

  • Qualified Accountant (ACA or equivalent) trained in a reputable practice with Audit experience
  • Positive attitude: 'Can do' approach and willing to give everything a go from manual processing to larger projects
  • An ability to complete tasks with a process focused mentality
  • Experience of month end close, functional reporting and preparation of statutory accounts and / or local company reporting experience.
  • Excellent attention to detail with the ability to unravel complex accounting queries.
  • Excellent organisation skills: ability to plan and organise work so that it is efficient and effective
  • Ability to comprehend and narrate financial records for external stakeholders and experience of working with and managing external service providers
  • Experience in/proven record of process improvements (desirable)
  • Excellent Microsoft Office skills & experience working in NetSuite (desirable)

Perks & Benefits

  • Comprehensive private Healthcare Insurance
  • Flexible work environment and home office available
  • Home office allowance
  • Gym & Leisure Allowance
  • All the hardware and software you need to be successful
  • Regular company events and social outings, activities, Spot Awards and a Monthly Social Club
  • Access to courses for Personal and Career Development
  • Company Paid Volunteer Day