Senior Financial Controller
About the role
Fliff is the arena for high-upside play. We are dismantling the paywalls of legacy sportsbooks and reimagining the economics of social games to pioneer the next generation of rewards-driven entertainment spanning sports, casino, predictions, collectibles, and beyond. Powered by a frictionless freemium architecture, Fliff democratizes access and gives millions of players nationwide a real stake, real thrill, and real upside. By combining authentic competitive drive with instant rewards and interactive games, we are turning passive sports fans and casual gamers into active, empowered participants – unlocking the player in everyone. As a senior financial controller, you will be responsible for overseeing the financial management of the organization, providing strategic financial guidance, and ensuring compliance with relevant financial regulations.
Responsibilities:
- Complete monthly, quarterly, and annual financial reporting responsibilities
- Prepare monthly, quarterly, and annual budgets
- Perform regular forecasting for both short and long-term business needs, including long-range planning
- Oversee federal and state tax reporting and compliance
- Oversee and manage all of the company's financial and controls audits
- Improve/enhance the company's admin functions (e.g., A/R, A/P, etc.)
- Reconcile Financial Reports
- Analyze company performance and identify key trends and opportunities to increase revenue/reduce costs for the business
- Develops, maintains and distributes key operating metrics to evaluate attainment of company’s operating, service and financial objectives
Requirements:
- A bachelor's degree in finance, accounting, economics, or a related field.
- 5-7 years of experience in a related field, such as accounting, finance, or auditing.
- Strong knowledge of financial reporting standards, such as Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS).
- Experience with financial modeling, data analysis, and report preparation.
- Attention to detail and accuracy, with the ability to work efficiently under tight deadlines.
- Experience with financial software or enterprise resource planning (ERP) systems.
- Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)
- Detail-oriented and analytical.
- Self-starter who can operate with minimal supervision and has a proven track record of managing upward.
- Must have experience with developing pro forma P&L’s.
- ROI analysis / financial modeling experience is essential.
- Must have broad knowledge of accounting and financial analysis.
- Must have knowledge of financial accounting and reporting under GAAP and SEC requirements.
Benefits:
- Top tier compensation + benefits package
- Flexibility to work remotely
- Opportunity for professional growth in a dynamic and international environment
- Informal, friendly and knowledge-sharing environment
- An interesting and challenging job that allows you to explore paths to creating successful software solutions