KEY RESPONSABILITIES
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Financial Controlling & Reporting: analyze financial performance (P&L, gaming KPIs), lead annual budgeting and forecasting (Revenue, EBITDA), and ensure local data seamlessly integrates with Group reporting standards.
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Accounting, Tax & Compliance: oversee month-end closings, lead internal/external audits, and ensure strict compliance with Barrière internal controls and Albanian local tax regulations.
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Cash & Treasury Management: direct weekly and monthly cash flow forecasting, supervise vault/cage liquidity, and reconcile cash movements with operational gaming activity.
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Operational Cost Control & Procurement: conduct monthly inventory reviews (Gaming & F&B), analyze « flash costs » to optimize profit margins, and negotiate operational and beverage supplier contracts.
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Stakeholder Liaison & Leadership: present monthly business reviews to local management, Barrière HQ, and property owners, while directly managing and mentoring a one-person finance team.