About the company
Monkey Tilt is building a gaming platform that will house all speculation, with everything from traditional sports betting and casino games to poker to crypto perpetuals to prediction markets to collectibles and more. And wrapped around this platform is a lifestyle brand that embraces the fact that life is a gamble, and that is fucking awesome. The company is financed by top-tier institutional investors, closing $21 million last year and preparing to announce a much larger series A financing closing soon. We are led by a CEO and leadership team brimming with youth, energy, and extensive experience in online gaming, crypto trading, culture and design. Tyga, the iconic hip hop artist and fashion icon, recently joined the company as its Creative Director and the team is routinely welcoming entertainment giants and cultural icons to its roster. Unlike other competitors that focus on a sportsbook, casino, poker or a hybrid of those 3, MonkeyTilt aspires to bring together many more verticals in gambling and speculation all unified by a single, multi-currency wallet and a best-in-class rewards system. Moreover, many brands and concepts will spin off of MonkeyTilt but continue to be a part of our interconnected ecosystem, including our soon-to-launch fashion label, Tilt Club Collection; our podcast, the Fully Tilted Pod; and other yet to be released media assets. Online casinos have not evolved over the last 25 years. And to think that in the next 25 years, they will live in isolation as they do now is foolhardy. Speculation is a lifestyle that can be exercised through many outlets, and we plan to be the central point of distribution for as many of those as you can imagine. And we want to deliver that in a fresh and unique way.
Job Summary
Key Responsibilities
šDevelop and implement financial strategies aligned with the company's business goals. This includes long-term financial planning, investment strategies, and financial risk management šOversee all financial operations, including accounting, financial reporting, budgeting, and forecasting šManage the company's cash flow to ensure it has the necessary funds for operations, development, and expansion. This may include managing relationships with banks and other financial institutions. šIdentify and implement cost-saving measures to improve profitability. This includes monitoring operational costs and implementing financial controls to prevent over-expenditure. šEnsure compliance with financial regulations and tax laws. šDevelop and maintain internal financial controls to safeguard the companyās assets. šBuild and lead a high-performing finance team and treasury function šEstablish and maintain strong relationships with senior executives to identify their needs and seek a full range of business solutions šAssist with group structures and strategy šEvaluate and manage financial risks šEnsure compliance with financial regulations and standards šProvide strategic recommendations to enhance financial performance and new business opportunities šCoordinate and lead the annual audit process, liaise with external auditors and the Audit Committee of the board of directors šPrepare and present monthly financial reports to the board and senior management team šDrive the companyās financial planning and performance measures, including key performance indicators (KPIs)
Qualifications
šCPA certification šMasterās degree in Finance, Accounting, or related field; MBA preferred š5 years of professional experience in a senior financial managerial position šProven experience in financial planning, budgeting, and risk management šStrong analytical, strategic thinking, and leadership skills šExceptional interpersonal and communication skills, with the ability to present complex financial information in a clear and concise manner šAdvanced proficiency in accounting software and data analysis tools