This position contributes to GiG’s success by ensuring an efficient banking structure to support our financial operations through overseeing operational and strategic projects. The Analyst will support all aspects of Treasury Operations activities. This includes assisting with the development of cash management banking solutions for all business segments of the company and supporting the cash forecasting process.
- Responsible for performing various cash, disbursement, and cash accounting activities within the Corporate Treasury function.
- Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements.
- Maintain banking relationships.
- Maintain an efficient system of policies that adequately control treasury activities.
- Administration of the company’s bank accounts.
- Compilation of VAT returns.
- Credit control.
- This individual may be required to provide input to or participate in various projects.
- Additional ad hoc tasks such as account reconciliations, audit inquires.
What we Offer
We GiGsters play hard, but we work even harder. We take personal responsibility for our deliverables every day, and we’re killing it. We work as one GiG, from teams to individuals, to make iGaming fair and fun for all. Each GiGster, no matter what their role, is empowered to be disruptive. And we are agile enough to make it happen. We are front-runners and deliver the best. Always. No compromises.