Treasury Manager
Our client is a fast-growing international iGaming group.
The Treasury Manager will be responsible for overseeing group-wide treasury operations, including cash management, banking relationships, PSP and payment flows, crypto-related treasury activities, and liquidity risk management.
Working closely with the Finance and Payments teams, the role ensures efficient cash movement, uninterrupted payment operations, and a scalable banking infrastructure to support rapid growth across multiple jurisdictions. Reporting directly to the CFO, the Treasury Manager plays a critical role in enabling market expansion and maintaining operational resilience.
Key Responsibilities
Cash & Liquidity Management
Manage daily cash positioning, short-term liquidity, and rolling cash-flow forecasts across all group entities, currencies, and markets.
Ensure adequate liquidity buffers, taking into account PSP settlement cycles, rolling reserves, and growth-related volatility.
Oversee intercompany funding structures, cash concentration, and capital efficiency.
Monitor restricted and trapped cash across African and offshore jurisdictions.
Banking Strategy, Optimisation & Cash Mobility
Maintain an active pipeline for identifying and onboarding banking partners suitable for iGaming operations, offshore licences (including Anjouan), crypto-adjacent flows, and Africa-facing markets.
Proactively identify alternative and replacement banking partners to mitigate de-risking and concentration risk.
Lead bank account openings in close collaboration with the Compliance team.
Negotiate improved pricing, FX rates, limits, and settlement terms.
Optimise cash movement efficiency across banks, PSPs, wallets, and operating entities.
PSP & Payments Collaboration
Work closely with the Payments team to manage PSP and acquirer relationships.
Monitor settlement timelines, rolling reserves, chargebacks, fraud ratios, and exposure limits.
Crypto & Alternative Payments Treasury
Oversee treasury-related aspects of crypto payments, wallets, stablecoins, and fiat on/off-ramps.
Implement appropriate controls over crypto transactions and balances.
Market Expansion Support
Support treasury setup for new Africa-licensed markets.
Advise on FX controls, repatriation risks, and settlement constraints.
Controls, Reporting & CFO Support
Establish and maintain treasury controls and approval frameworks.
Oversee bank, PSP, and wallet reconciliations.
Prepare liquidity and treasury reporting for the CFO and senior management.
Support audits and regulatory reviews as required.
Candidate Profile
Required Experience
Minimum of 5 years’ experience in Treasury, Cash Management, Payments, or Banking.
Experience working with offshore or non-mainstream gaming licences.
Strong exposure to PSPs, wallets, and alternative payment methods.
Proven experience managing banking relationships.
Skills & Attributes
Strong cash-flow forecasting and liquidity management capabilities.
Operational understanding of crypto and digital payment flows.
Excellent negotiation skills.
Strong stakeholder management and communication skills.
High level of integrity and discretion.
Why Join
High-impact role supporting rapid international expansion.
Direct exposure to the CFO and senior leadership team.
Opportunity to build and scale a group-wide treasury function.
Malta-based hybrid role with significant international scope.
- Department
- Finance
- Locations
- Malta
- Remote status
- Hybrid
- Yearly salary
- €50,000 - €55,000
- Employment type
- Full-time
About iTalent PLUS
As iGaming recruitment specialists, at iTalent PLUS, we take pride in our role as matchmakers between exceptional talent and forward-thinking employers. From tackling personal decisions to reaching important milestones, our job is to guide you on the path of success. We are fueled by our commitment to excellence and go the extra mile to make sure our clients are fully satisfied with our work.