Treasury Manager
Lead Treasury function, optimizing cash flow, liquidity, and working capital. Drive financial integrity, compliance, and excellence to support strategic goals.
Position Overview
The Treasury Manager will lead the Treasury Function in Finance, managing effective cash flow management, liquidity planning, and optimisation of working capital across the organisation. The role is crucial in establishing a high-performing finance function that balances financial integrity, compliance, and operational excellence. The Treasury Manager will be a subject matter expert managing and developing this integral element of the company’s overarching strategic and commercial objectives
Key Responsibilities
- Responsible for the on-boarding of new banking partners and account applications
- Management of Group bank accounts; co-ordination of KYC refresh exercises etc
- Developing the business’s ongoing liquidity reporting requirements, ensuring liquidity needs for Group companies are met
- Overseeing the compilation of cashflow reporting data for the Finance Department to ensure correct booking and classification of banking transactions
- Coordination and delivery of Treasury oriented external audit deliverables
- Maintain compliance with internal control requirements, and other relevant standards.
- An important element of the role is communicating with different stakeholders within Business units in-country, and in organizations across Europe and the Rest of the World, as well as with European management
- Manage the Treasury & PSP team relationship to ensure funds are settled in a timely manner and keep banking partners updated and appraised of any change in routing.
- Oversee the daily matching exercise of player funds for all applicable licenses.
- Identifying Foreign Exchange exposure and other areas of financial risk, developing solutions to negate.
- Implementation of process and control standardisation and improvement initiatives.
-
Manage implementation of ad hoc project and Treasury-related
finance transformation activities
The above duties provide a generic description of the Employee’s day-to- day responsibilities but should in no way be deemed to be an exhaustive list. Additionally, duties may be assigned by the Line Manager in line with business exigencies and continuity.
Requirements
- 5-10 years general Treasury experience that is demonstrably relevant to the role is essential (candidates with eGaming experience are preferred but not essential).
-
Demonstrable experience of working with multiple jurisdictions is
essential. - Previous management experience, ideally including remote teams
- Excellent written and verbal English language skills essential.
- Excellent communication and organisational skills with a strong attention to detail
- Demonstrable experience of implementing process control and improvement initiatives
- Formal Treasury qualifications ideal but not essential
- Demonstrable experience of successful of project management
- Good MS Office (specifically MS Excel) skills
Why Work With Us?
At Silverspin, we’re not just about work—we’re about passion, innovation, and community. Joining us means you’ll be part of a team that celebrates creativity, supports professional growth, and values every voice. We’re committed to making Silverspin a place where you’ll be excited to come to work every day (and maybe have a little fun along the way!). 🎉💼 We offer:
- Competitive Salary & Benefits
- Growth & Development Opportunities
- Creative and Collaborative Environment]
Silverspin is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
- Department
- Finance
- Locations
- Isle of Man
- Remote status
- Hybrid
- Employment type
- Full-time

About Silverspin
At Silverspin, we’re reshaping the world of iGaming with cutting-edge technology and a passion for innovation. As the powerhouse behind brands like Vera & John, Yuugado, InterCasino, BoaBet, and CasinoSecret, we’re dedicated to delivering exceptional player experiences that stand out in a crowded market.
We thrive on bold ideas, smart tech, and great people. If you’re ready to be part of a tech-first company where your creativity and skills can shine, Silverspin is the place for you
Treasury Manager
Lead Treasury function, optimizing cash flow, liquidity, and working capital. Drive financial integrity, compliance, and excellence to support strategic goals.
Loading application form
Already working at Silverspin?
Let’s recruit together and find your next colleague.