Financial Controller
Listed on 2026-09-23
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Finance & Banking
Financial Reporting, Financial Analyst -
Accounting
Financial Reporting, Financial Analyst
Kick-start your career in the online gaming world and experience the very latest in technology and innovation.
Who we areWe’re part of Super Group, the NYSE-listed digital gaming company behind some of the world’s leading Sports and iGaming brands. At Super Group International which includes the Betway Spin and Jumpman brands, we’re driven by our shared vision to become the global leader in the online sports betting and casino industry. Our people are forward-thinking team-players who thrive on a collective diversity of skills and backgrounds.
Founded in 2006, our teams in Guernsey, London, Malta, Germany, Portugal and Spain and are constantly expanding and evolving.
We’re on a thrilling journey of growth and innovation, and we need passionate, driven individuals to join us. At Super Group International, every day is action-packed, and we expect you to bring your A-game. In return, you’ll find a supportive environment where your skills can flourish and your career can soar.
Why we need youWe’re on a mission to create extraordinary experiences for our customers, and we believe that your unique skills, passion and superdrive will help us achieve our vision. As our Financial Controller you’ll be supporting the delivery of a high-quality service within the finance function, assisting with accounting, month end and year end reconciliations and preparation of audit files for all Super Group International entities.
This will help us excel and stay ahead of the game.
As part of your role, your responsibilities will include:
- Monthly management reports
- Assist in the preparation of the management accounts
- Assist with posting of invoices, accruals and prepayments
- Review expense analysis, prepayments and accruals to identify missing expenses and raise accruals appropriately
- Reconcile prepayments, accruals, foreign exchange
- Assist with the analysis of expenses, with commentary (Opex, IS and Fee files) ensuring all expenses have been categorised and allocated correctly
- Assist with updating headcount splits by department, brand and region for cost allocation purposes
- Matching of open items
- Run FX in Business Central and prepare FX reconciliations
- Proactively resolve any queries raised
- Preparation of monthly balance sheet reconciliations
- Preparation of all fixed asset recons and review the fixed asset register ensuring that assets are captured and depreciated in line with fixed asset policies, scrapping old assets and revisiting estimated useful lives
- Monitor and maintain reporting dimensions to ensure the accurate allocation of brands, products, and regions across all relevant entities.
- Monitor reporting dimension SPLIT in BC to ensure accurate allocation across brands, products and regions in all entities.
- Assist in ensuring accurate and up-to-date MRC’s within Flo Qast working paper files.
- Reporting
- Prepare monthly balance sheet schedules in particular trade and other receivables and payables
- Preparation of loan schedules and monitoring of loan balances and cashflow and dividend payments
- Prepare necessary commentary for month end Opex review files and review input and commentary from Creditors controllers
- Prepare necessary commentary for balance sheet review files
- Assist with the preparation of monthly Income statement files, including commentaries per expense type and brand
- Updating of disclosure schedules for quarterly audit files
- Managing reporting index.
- Operations
- Ensure all intragroups are settled timeously and balances confirmed monthly
- Ensure all customers are collected and vendors settled
- Reviewing of aging reports and open items
- Communicate cash requirements with Treasury team weekly
- Ensure all contractual relationships up to date
- Review contracts matrix regularly with Legal
- Pos…
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