Overview

Senior Group Treasury Specialist Jobs in Il Gżira, Malta at Clever Advertising

Title: Senior Group Treasury Specialist

Company: Clever Advertising

Location: Il Gżira, Malta

Join Our Team as a Senior Group Treasury Specialist in Malta! 🌍

We are seeking a Senior Group Treasury Specialist to lead our global liquidity, risk mitigation, and financial governance initiative. This is a high-impact position that balances day-to-day cash operations with sophisticated financial engineering and strategic process automation.

Who Are We?

Clever Advertising is a multinational digital brand serving the iGaming industry for the last 15 years with innovative advertising and technology solutions.

Where’s the Action?

Our brand-new office in Gzira, Malta – a vibrant iGaming hub that’s as inspiring as it is sunny!

Core Responsibilities2. Financial Risk Management (FX & Interest Rates)3. Treasury Reporting & Compliance4. Audit, Process & Internal ControlsKnowledge, Skills, and Experience

  • Cash & Liquidity Management
  • Liquidity Oversight: Monitor wide cash balances to ensure optimal liquidity for daily operations and supplier obligations.
  • Intercompany Funding: Managing intercompany funding and optimizing cash pooling structures across multiple legal entities and GEOs.
  • Banking & Relationship Management: Lead bank relationship management across multiple jurisdictions, including account lifecycle management, complex KYC/AML processes, and negotiation of competitive banking fees.
  • Cash Flow Forecasting: Develop and maintain robust short- and medium-term forecasting models to ensure funding requirements are met under various stress scenarios.
  • Hedging Strategy: Design and execute FX hedging strategies to mitigate currency risk.
  • Exposure Analysis: Conduct balance sheet "deep dives" to identify hidden FX exposures and propose proactive mitigation strategies.
  • Debt & Interest Management: Monitor interest rate risk and manage debt facilities, ensuring compliance with all borrowing covenants.
  • Derivative Valuation (MtM): Provide and explain Mark-to-Market (MtM) valuations for derivatives, ensuring accuracy for financial reporting and year-end audits.
  • Regulatory Compliance: Ensure adherence to regulatory capital requirements, liquidity ratios, and EMIR/transaction reporting standards.
  • Advanced Reporting: Develop monthly treasury dashboards highlighting net liquidity, hedge coverage ratios, and a breakdown of realized vs. unrealized FX gains.
  • Performance Variance Analysis: Analyse and explain deviations in FX performance, distinguishing between market volatility, timing differences, and hedge effectiveness.
  • Policy Governance: Develop and maintain Group Treasury Policies.
  • Audit Liaison: Act as the primary point of contact for external auditors regarding bank confirmations and Hedge Effectiveness Testing.
  • Process Optimisation: Identify and implement automation opportunities to enhance efficiency and strengthen controls within the treasury workflow.
  • Strategic Projects: Lead treasury-specific initiatives, including the implementation of Treasury Management Systems (TMS) and payment automation.

Education & Qualifications

  • A Bachelor’s degree in Accounting or Finance.
  • Fully qualified Accountant (ACCA / MIA or equivalent) is essential for this technical level.

Experience

  • A minimum of 4 years of experience within treasury or cash management.
  • Experience within a Big 4 firm is highly recommended and will be considered a significant advantage.
  • Previous experience in the iGaming or Online Advertising sectors is a significant advantage.
  • Experience managing multi-currency cash flows, intercompany funding structures, cross-border treasury operations, and FX exposure in international groups will be considered a strong advantage.

Technical Skills

  • Advanced Excel proficiency and analytical skills.
  • Strong understanding of banking systems, liquidity management, and payment processes.
  • Solid grasp of IFRS 9 accounting for financial instruments and derivatives.

Behavioural Competencies

  • Autonomy: Proven ability to operate independently and take ownership of the treasury function with minimal supervision.
  • Precision: A "right-first-time" mentality with exceptional attention to detail.
  • Strategic Problem Solving: A proactive mindset focused on identifying operational bottlenecks and implementing scalable solutions.

What’s in It for You at Clever?

💰 Competitive Salary – Because you deserve the best.

💊 Health & Dental Insurance – We care about you.

🎉 Happiness Department & E.A.P. – Holistic well-being, unlimited online psychology sessions with our in-house therapist.

🎂 Birthday Leave – Take the day off — it’s all about you!

📈 Professional Development – Tailored plans and internal mobility opportunities.

🌍 Hybrid Work Options – Flexibility that works for you with work from home option up to 2 days a week!

📚 Continuous Learning Culture – Clever Academy and language classes.

  • and so much more!

At Clever, we believe in diversity and inclusion as drivers of innovation. We foster a work environment free from discrimination, where everyone has equal opportunities to succeed

Ready to make your mark? Let’s get Clever together! 🚀

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