Financial Accountant
ExternalPrepare for this interview
EliteAI-generated questions, company research, and talking points tailored to this role
About the role
We're part of Super Group, the NYSE-listed digital gaming company behind some of the world's leading Sports and iGaming brands. At DigiOutsource, we bring passionate people and innovative tech together to create market-leading online gaming solutions. Our multidisciplinary teams are passionate about products, customer experience and security. We're empowered to achieve the ultimate in high-performance gaming experiences using the best technology available. Who we're looking for We're on a thrilling journey of growth and innovation, and we need passionate, driven individuals to join us. At DigiOutsource, 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. Ready to become a game-changer? Supercharge your career with us and be part of something extraordinary. Why we need you We're building experiences that wow our customers - and that starts with bold, curious people who want to do work that matters. If you're hungry to grow, excited by impact and ready for a challenge that will supercharge your career, this could be your moment. As a Financial Accountant you'll be supporting the delivery of accounting for all transactions, reconciliations, and reporting for the Support Silo and related entities. Your drive and ideas will help us move faster, improve smarter, and stay ahead of the game.
Responsibilities
- You'll take ownership of work that gives us our competitive edge, including:
- Financial Reporting
- Prepare accurate and timely monthly management reports in line with reporting deadlines.
- Review and ensure that all financial data is correctly posted by product, region, platform, brand, and event name.
- Reconcile gaming data imported into Microsoft Business Central to the Player Activity Report.
- Ensure that all open items relating to gaming vendors and customers are matched, excluding cash‑in and purchase control balances.
- Investigate financial anomalies and unresolved open items promptly and ensure timely resolution.
- Prepare weekly open item reports and actively follow up on long‑outstanding balances.
- Calculate usage fees and rebates and ensure alignment with contractual terms and conditions.
- Accurately post all invoices, accruals, and prepayments.
- Process all intercompany and intergroup billings.
- Run monthly depreciation and foreign exchange processes.
- Proactively resolve queries arising during the reporting cycle.
- Analytical Reporting
- Ensure that all relevant financial data is appropriately split by product, region, platform, brand, and game, where applicable.
- Prepare monthly income statements and balance sheets with comprehensive and meaningful commentary.
- Analyse performance variances and provide insight into key business drivers.
- Corporate Governance
- Prepare and coordinate internal and external audit files to ensure completeness and accuracy.
- Liaise with internal stakeholders to collect required audit documentation.
- Communicate with the Manager regarding all audit‑related queries.
- Resolve queries raised by external auditors in a timely and professional manner.
- Tax Management and Compliance
- Prepare gaming tax and gaming VAT calculations per region.
- Compile all gaming‑related reporting required for annual returns, regulatory submissions, and statutory reporting.
- Reconcile VAT and tax vendor accounts and ensure accurate matching and clearing.
- Ensure that all tax submissions and related payments to authorities are made timeously.
- Submit all tax calculations and supporting schedules for review within agreed timelines.
- Funds and Asset Management
- Run weekly vendor open item reports and identify items due for payment.
- Request and coordinate payments for approved and due open items.
- Verify cash availability prior to processing payment runs.
- Ensure that supplier and intergroup payments are processed accurately and on time.
- Prepare weekly payment schedules, ensuring correct suppliers and correct payment amounts.
- Systems, Controls, and Governance
- Assist in drafting and maintaining financial process documentation and standard operating procedures.
- Draft process notes detailing how and why monthly financial tasks are performed.
- Support business continuity and control through consistent and documented processes.
- Financial Team Contribution and KPI Management
- Work collaboratively with relevant team members to achieve agreed financial KPIs.
- Communicate effectively with the Manager and team members to ensure deliverables are met on time.
- Identify and proactively escalate potential risks or delays.
- Communicate clearly and professionally at all levels, both internally and externally.
- Ensure that critical information and updates are shared appropriately with relevant stakeholders.
- Manage expectations proactively and address potential issues before they e
Additional Information
Kick-start your career in the online gaming world and experience the very latest in technology and innovation.
Your Match
How well this role fits your profile.
Company Intel
What employees say
Worked at myhcm? Share your experience