SweepTech iGaming Solutions

Finance Operations and Treasury Manager (iGaming)

About Us

We’re a fast-growing startup operating at the intersection of CS2 skin gambling and online casino entertainment. Our brand merges gaming culture, high-stakes excitement, and cutting-edge technology into one platform where users can wager, win, and trade with a seamless experience. We’re building the next generation of skin-based entertainment and looking for a data-driven Finance Operations & Treasury Manager to help us scale efficiently and profitably across multiple markets.


Job Summary

As the Finance Operations & Treasury Manager, you will be the cornerstone of our financial infrastructure. You will be responsible for managing the complete flow of funds across three distinct asset classes: skins, fiat, and crypto. This is a hands-on, foundational role where you will design processes, manage liquidity, mitigate risk, and ensure our operations' financial stability and compliance.


Required Qualifications (Must-Have)

  • 5+ years in treasury, payments operations, or finance ops role in fintech, payments, crypto, or gaming. Experience with gambling industry operations is a strong must.
  • Bachelor’s degree in Finance, Accounting, Economics, or equivalent. A professional qualification (CPA/CIMA/ACA) is a plus.
  • Deep practical experience with payment processors, merchant acquiring, payouts, chargebacks, and PSP integrations.
  • Hands-on experience with crypto custody, on-chain monitoring, exchanges, and converting crypto <> fiat. Familiar with multisig, custodial vendors, and hot/cold wallet best practices.
  • Proven experience opening bank accounts, managing fiat payment systems (credit cards, e-wallets, bank transfers), and navigating associated banking challenges.
  • Solid experience with cash flow forecasting and financial analysis.
  • Strong accounting and reconciliation experience; comfortable with GL mappings and monthly operational close.
  • Experience designing and documenting policies, controls, and audit support materials.
  • Familiarity with KYC/AML compliance frameworks specific to digital assets and gaming.
  • Knowledge of regulatory requirements, compliance, IFRS, and accounting principles.
  • Strong stakeholder management - can work across product, engineering, compliance, and external partners.
  • Strong analytical and quantitative skills with advanced proficiency in Excel/Google Sheets and payment systems.
  • Structural thinking combined with a strong sense of ownership and a results-oriented mindset.
  • Comfortable in an ambiguous, high-change startup environment. High attention to detail and process-oriented.
  • Fluency in Ukrainian or Russian and proficiency in English for collaboration in a remote/global team setting.
  • Ability to work within the CET/EET time zone.


Your Advantage (Nice-to-Have)

  • Previous work experience in skin gambling/trading (e.g., knowledge of platforms like Steam, skin marketplaces, and valuation methods).
  • Excellent technical aptitude: SQL and spreadsheet modelling (advanced Excel), experience writing automation scripts or working with APIs. Python or similar is a plus.
  • Direct experience building payment rails for cross-border flows.
  • Experience with treasury management systems (e.g., QuickBooks, NetSuite, etc.) and modern fintech stacks.
  • Familiarity with AML transaction monitoring systems and sanctions screening.
  • Familiarity with token standards, NFTs, and smart contract basics.


Key Responsibilities

What You’ll Own (High-Level):

  • End-to-end treasury for fiat, crypto, and skins: liquidity, settlement, custody, and conversion flows.
  • Payments operations: onboarding/payment processor integrations, payouts, disputes, and chargebacks.
  • Reconciliation and operational close: automated matching across wallets, exchanges, PSPs, and game inventory.
  • Risk and compliance alignment: KYC/AML liaison, suspicious activity monitoring for payments & on-chain flows.
  • Month-end closing processes and payroll activities.
  • Cash forecasting, working capital, and FX/crypto exposure management.
  • Policies, controls, and documentation for auditors and regulators.
  • Vendor selection, onboarding, and relationships: PSPs, custodians, exchanges, banks, KYC/AML providers.
  • Build and improve automated tooling and reporting (APIs, SQL, dashboards).
     

Day-to-Day Responsibilities:

  • Oversee all treasury operations, including the execution of payment processing and wire transfers.
  • Ensure accurate preparation of supporting documentation for payments and management of bank cards.
  • Prepare and analyze daily and monthly reports on turnover and balances to provide insights into financial performance.
  • Maintain daily liquidity across fiat bank accounts, PSPs, custodial wallets, and skin inventory to meet settlement and payout needs.
  • Execute and optimize crypto <> fiat conversion flows (on-ramps/off-ramps), minimize fees and slippage, and manage settlement timing.
  • Implement and own reconciliation processes: automatically match deposits/withdrawals to user accounts, detect exceptions, and reconcile to the general ledger.
  • Manage payout flows and fraud/dispute resolution processes, including chargebacks and PSP disputes.
  • Design and enforce treasury policies: account signatories, multisig rules, cold/hot wallet segregation, transaction limits, and incident response.
  • Maintain accurate valuations and accounting treatment for skins (inventory/user balances) in partnership with finance and product.
  • Monitor on-chain transactions, maintain explorer/monitoring tools, and produce activity reports for compliance.
  • Lead relationships and SLAs with banks, PSPs, custodians, exchanges, and AML/KYC tooling vendors.
  • Support monthly/quarterly close for payments-ledgers and produce treasury reporting: cash position, FX/crypto P&L, liquidity runway.
  • Drive automation (scripts, API workflow, or ETL) by collaborating with the engineering and product teams to eliminate manual reconciliation and reduce settlement time.
  • Support audits, regulatory requests, and prepare materials for due diligence.
  • Participate in ongoing and special projects or initiatives, prepare ad hoc reports, and perform other duties as assigned by upper management.


Recruitment Process

  1. Application Review (1-2 weeks).
    If you have not received a response from the recruiter, your experience is irrelevant to this vacancy.
  2. Interview Stages (2-3 weeks).
    1. Prescreen Call with Recruiter - 30 min.
    2. Technical Interview with CPO - 45 min.
    3. Test Assignment.
    4. Final Interview with CEO - 45 min. 
  3. Job Offer
  4. Referrals: Employment and Background Check


We Offer

  • Competitive compensation package (depends on your experience and skills).
  • Fully remote work with flexible hours (within the CET/EET time zone) from any location of your choice.
  • 29 business days of vacation and paid sick leave.
  • Corporate equipment (laptops, monitors, etc.).
  • Professional courses/certifications (200 EUR per year).
  • Operating in a start-up environment with cutting-edge technologies and unlimited investments in software upgrades, free from legacy systems or outdated solutions.
  • Values-driven culture with a friendly and supportive work environment.
  • Matrix organizational structure designed to streamline communication, remove barriers, and promote efficiency.


 

We’re not looking for someone to just “join the team” - we’re looking for someone ready to shape the product, lead meaningful growth, and make an impact from day one.

If that sounds like you - send over your CV, and let’s talk!

Required languages

English B1 - Intermediate
Financial management, analytical skills, Excel, Financial Analysis and reporting
Published 17 October · Updated 9 November
177 views
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14 applications
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