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Open nowPosted 11 days ago

Senior Finance & Tax Manager

lestars-management-consultancy-l-l-c49 open roles

Where
New York, United States
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Your applicationOpen nowSenior Finance & Tax Managerlestars-management-consultancy-l-l-c · New York, United States
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This job: posted 11 days ago

The posting

On behalf of our client, an Online Gaming company, we are seeking an experienced Senior Finance & Tax Manager to manage the accounting, tax, treasury, and financial operations of our growing U.S. business.

This is a hands-on role. The successful candidate will be responsible for maintaining accurate financial records, managing U.S. tax compliance, overseeing cash flows, and supporting tax-efficient corporate and international structuring.

We are not currently looking for a CFO-level candidate. We are looking for someone with strong accounting and tax expertise who can grow with the business and potentially progress into a Finance Director or CFO role in the future.

Key Responsibilities

  • Manage day-to-day accounting and maintain accurate books and records for U.S. entities.
  • Reconcile bank accounts, payment processor settlements, customer transactions, vendor payments, refunds, chargebacks, and other financial activities.
  • Manage monthly and annual financial closing and prepare P&L, balance sheet, cash flow, and management reports.
  • Manage U.S. federal and state tax compliance in coordination with external CPAs and tax advisors.
  • Identify and evaluate legitimate opportunities to improve the company's tax efficiency and overall corporate structure.
  • Support international tax planning for transactions between U.S. and overseas group companies.
  • Manage and document intercompany transactions, including service fees, technology/platform fees, IP arrangements, loans, dividends, and other commercial arrangements.
  • Work with external specialists on transfer pricing and ensure intercompany transactions are properly structured, documented, and commercially supportable.
  • Evaluate the tax implications of moving funds between U.S. and international entities, including withholding taxes, transfer pricing, and reporting requirements.
  • Manage treasury operations, banking relationships, liquidity, and international cash flows.
  • Develop efficient processes for receiving, holding, and transferring funds across the group's U.S. and international operations.
  • Support banking and PSP requirements, including KYB, financial reporting, source-of-funds documentation, and transaction records.
  • Develop financial controls, accounting policies, approval procedures, and reporting processes as the business grows.
  • Support budgeting, forecasting, cash-flow planning, and financial analysis for senior management.

Requirements:

  • 5+ years of relevant experience in accounting, corporate finance, tax, or a related field.
  • Strong knowledge of U.S. corporate accounting and taxation.
  • Experience with U.S. federal and state corporate tax requirements.
  • Experience with international or cross-border transactions is highly preferred.
  • Knowledge of international tax, transfer pricing, withholding tax, intercompany transactions, and corporate structuring is highly valuable.
  • Experience with treasury, cash management, banking, and international fund flows is preferred.
  • CPA qualification or strong experience working in a CPA, accounting, or tax advisory firm is preferred but not mandatory.

Preferred Experience

  • Experience in online gaming, sweepstakes, iGaming, fintech, payments, e-commerce, or another high-volume transactional business would be particularly valuable.
  • Experience dealing with banks, PSPs, payment processors, and high transaction volumes is preferred.

What We Offer:

  • Compensation: Competitive salary commensurate with experience.
  • Professional development and career growth opportunities
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