Treasurer
Job Description
Our client, an international business operating within the digital and iGaming space, is looking to appoint a Treasurer to take ownership of group-wide liquidity, financial risk and treasury operations. This role sits at the centre of the finance function and combines operational execution with strategic oversight.
Location: Hybrid – Gzira
Role Overview
The selected individual will be responsible for managing cash across multiple entities and jurisdictions, ensuring efficient funding structures and maintaining strong financial controls. The role also involves driving improvements in treasury processes and supporting wider financial strategy.
Responsibilities:
As a Treasurer, your broad responsibilities will include but are not limited to:
• Oversee and manage daily cash positions across multiple entities, ensuring sufficient liquidity is maintained at all times
• Coordinate intercompany funding activities, including optimisation of cash pooling and internal financing structures
• Manage and develop relationships with banking partners, including account management, compliance processes, and fee negotiations
• Prepare and maintain short- and medium-term cash flow forecasts, supporting planning and decision making
• Assess and manage exposure to foreign exchange and interest rate risks, recommending and implementing mitigation strategies
• Analyse balance sheet positions to identify financial risks and improve overall treasury visibility
• Monitor debt facilities and ensure ongoing compliance with financing terms and covenants
• Produce regular treasury reports, providing insight into liquidity, exposures, and performance drivers
• Support financial reporting requirements related to financial instruments, ensuring alignment with relevant accounting standards
• Establish and maintain treasury policies, procedures, and internal controls across the organisation
• Act as the main point of contact for auditors on treasury-related matters, including supporting audit requests and documentation
• Identify opportunities to streamline and automate treasury processes, improving efficiency and control
• Support or lead the implementation of treasury systems and payment solutions where required
Requirements:
• Degree in Finance, Accounting, or a related field
• Fully qualified accountant (ACCA or equivalent)
• Minimum of 4 years’ experience in treasury, cash management, or a similar function
• Strong understanding of liquidity management, banking structures, and financial risk
• Solid knowledge of financial instruments and related accounting principles
• Advanced Excel skills and strong analytical ability
• Ability to work independently and take ownership of the function
Experience within iGaming, digital industries, or a Big 4 environment will be considered an advantage.
What’s in it for you?
Our client offers an exciting, challenging role in a collaborative, dynamic environment. The right person will find many career growth opportunities in their company, whether you want to advance your technical skills or aspire to leadership in the future.
Benefits:
Competitive salary
Health & dental insurance
Hybrid working (up to 2 days remote)
Professional development support
Additional employee benefits
- Department
- Finance
- Locations
- Malta
- Remote status
- Hybrid
Colleagues
About Hireroo
We redefine recruitment by focusing on a rich back to basics approach that focuses on genuine relationship building both with our clients and our candidates, offering a truly bespoke service that revolves around that perfect match. With global reach and equipped with profound industry insights and an extensive network, we have now earned the trust of globally recognized iGaming and fintech companies. Standing firmly as the go-to partner for these industry leaders, collaborating on numerous local and global HR projects, we take pride in our role as true lifetime partners for both our clients and candidates.