Treasury team lead
Zeeks is a technology company developing infrastructure, analytical, and service products for the international iGaming market. We operate within B2B and B2B2C models, where process accuracy, data quality, and scalability of technological solutions play a key role.
We do not create entertainment products. Instead, we build solutions that help the market operate reliably and transparently.
Our projects act as intermediaries between end users and operators. We help users find relevant and high-quality offers, while enabling partners to gain valuable analytics, insights, and audience reach.
The company continues to grow steadily, expand its product portfolio, and support initiatives focused on responsible and ethical business practices.
We are currently looking for a Treasury Team Lead to join our finance team and lead the treasury function, ensuring effective cash flow management, accurate expense accounting, and timely fulfillment of payment obligations with all counterparties.
Our expectations from candidates:
- 3+ years of experience in a finance-related role within the IT industry; experience in iGaming or crypto domains will be considered a strong advantage.
- At least 1 year of experience managing a team or mentoring junior specialists.
- Cash Flow planning skills.
- Advanced proficiency in Google Sheets and Excel, including complex formulas and pivot tables.
- Experience with the full Payroll cycle.
- Fundamental knowledge of financial management principles.
- Experience working with payment calendars.
- Understanding of payment systems and operational rules related to them.
- Understanding and practical experience with KYC procedures and financial monitoring.
- Understanding of cryptocurrency systems and their operational principles.
- Experience working with domain registrars.
- Experience using QuickBooks, Saasant, G-accon, and Jira.
- English proficiency at B1 level or higher.
Key responsibilities:
- Organizing the full cycle of the company’s operational expenses and maintaining accurate records in the financial accounting system.
- Calculating, processing, and accounting for all types of compensation in accordance with company policies.
- Managing the company’s payment instruments, including bank accounts and payment service providers (PSPs).
- Handling KYC procedures and financial monitoring processes.
- Managing incoming and outgoing cash flows and overseeing Cash Flow planning.
- Administering and processing B2B transactions.
- Communicating and conducting joint financial operations with partner companies and projects.
- Closing the expense side of management reporting on a monthly basis.
- Organizing and managing the process of dividend payments and accounting.
- Ensuring the achievement of the team’s performance indicators.
- Managing treasury business processes, including documentation, systematization, optimization, and automation.
What we offer:
- Opportunity to optimize treasury processes and implement new tools, initiatives, and improvements.
- Cross-functional collaboration: close cooperation with Reporting, Budgeting, and Legal teams, as well as direct interaction with the CFO and top management.
- Work with multi-currency operations, international payments, and global financial instruments.
- Flexible schedule: hybrid format with visits to the Kyiv office (1-2 times per week).
- Financial compensation fixed in a foreign currency, with the possibility of review based on performance results.
- 18 working days of paid vacation, plus 5 additional days off, Birthday Day Off, and 5 paid sick leaves without medical certificates.
- Reservation possibility subject to valid military registration documents.
- Annual budget for learning and professional development.
- Annual wellbeing deposit covering compensation for medical services, sports activities, veterinary care, foreign language learning, non-professional education and hobbies, as well as childcare services (nanny/kindergarten).