S

Finance & Treasury Analyst

SG Worldwide
Full-time
On-site
Limassol, Cyprus, Cyprus

Job Title: Finance & Treasury Analyst

Department: Finance
Location: Limassol, Cyprus
Employment Type: Full-time

 

About SiGMA Group (Sigma Word)

Founded in 2014 and headquartered in Malta, SiGMA Group now employs over 250 professionals across six global offices, including Malta, Cyprus, Serbia, São Paulo, Manila, and India. SiGMA is a global leader in gaming, emerging tech, affiliate marketing, events, and media, best known for its marquee summits like SiGMA Malta and iGaming Academy. The company’s culture champions inclusivity, sustainability, collaboration, and philanthropic impact under its SiGMA Foundation initiative

 

Role Overview

The Finance & Treasury Analyst will provide analytical and operational support across both Tax/Structuring and Consolidation/Reporting functions. This hybrid role is designed to strengthen the Group’s finance capabilities by assisting with cash flow management, financial analysis, consolidation, and strategic projects. The successful candidate will report to the VP of Finance, supporting initiatives in treasury, forecasting, and group reporting.



Key Responsibilities

Treasury & Structuring Support

  • Prepare and monitor cash flow forecasts, liquidity reports, and banking positions.
  • Support intercompany funding flows, loan tracking, and FX exposure management.
  • Build strong banking relationships.
  • Assist in financial modelling and analysis for tax structuring and intercompany arrangements.
  • Contribute to projects relating to capital allocation and group financing.

FP&A Support

  • Assist in preparing budgets, forecasts, and variance analysis.
  • Develop financial models to support business cases, pricing, and investment decisions.
  • Consolidate data across departments to enhance reporting accuracy.
  • Support process automation and improvement of financial reporting tools.

General Finance Projects

  • Provide ad-hoc analysis and reporting for senior management.
  • Support compliance, audit, and board reporting requests.
  • Collaborate with stakeholders across the group to improve financial insight and control.

 

Key Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field.
  • Professional qualification in a related field (ACA, ACCA, CFA, etc )
  • 3–5 years of experience in finance, treasury, or consolidation/reporting.
  • Previous iGaming or payments industry experience is considered an asset.
  • Strong financial modelling and advanced Excel skills; experience with BI/reporting tools is an advantage.
  • Solid understanding of cash management, liquidity planning, and group consolidation principles under IFRS .
  • Strong analytical skills with attention to detail and ability to balance multiple priorities.
  • Ability to manage multiple priorities and work effectively
  • Deep understanding of PSPs, Crypto, banking and payment structures.

 

Why SiGMA Group?

  • Grow with us – Be part of SiGMA’s global expansion and make your mark.
  • Free iGaming Academy access – Learn the ins and outs of the industry with access to courses.
  • Travel perks – Visit our international offices and attend industry events worldwide.
  • Performance rewards – High performers are recognized and fast-tracked with annual reviews and bi-yearly performance checks ins.
  • Interest-free car loan after probation (T&Cs apply)