Digital Winners is an online marketing and digital performance company specializing in the iGaming industry (Gambling). Our team has been involved in the affiliate business since 2012 and we currently own more than 60 websites. We have solidified our position as one of the leading iGaming affiliates in Greece and maintain a strong presence in numerous European and North American markets. Some of our most reputable websites include Bookmakers.bet, Foxbet.gr, Best50casino.com and CryptoGambling.tv.
About the Role
We are looking for a Head of Finance to work directly with the CFO and takeownership of the day-to-day execution, control, and continuous development of the finance function across a fast-growing, multi-entity business environment.
This is a hands-on leadership role under the CFO for a finance professional who combines strong reporting discipline, financial control, treasury ownership, and operational sharpness.
This role is ideal for someone who is comfortable working in a fast-moving, multi-entity environment where systems and reporting structures are still evolving, who can build structure step by step, improve processes, and bring clarity, ownership, and discipline across day-to-day financial procedures, under the direction and final sign-off of the CFO.
Key responsibilities
- Lead the monthly reporting and close process across entities and business units.
- Ensure accurate and timely management reporting, reconciliations, and finance controls.
- Own day-to-day finance operations, including payment workflows, reporting calendars, and cost inputs.
- Drive improvements in controlling processes, including checks, reconciliations,and financial data consistency.
- Support banking operations, including onboarding of banks, EMI’s, and other financial partners.
- Coordinate with Legal Department banking / EMI onboarding documentation, KYC packs, and supporting materials required by financial counterparties.
- Maintain visibility over treasury workflows, cash visibility, and payment discipline.
- Own revenue control and receivables monitoring, including invoicing consistency, collections follow-up, and reconciliation of revenues vs invoices vs collections.
- Monitor partner settlements, unpaid balances, and revenue-to-cash reconciliation.
- Support project and strategic initiative cost control, including tracking of internal development costs, launch budgets, and CapEx / OpEx classification support.
- Work with the CFO on financial visibility of internal tech, platform, and other investment-heavy projects.
- Strengthen internal controls, segregation of duties, and fraud-prevention safeguards across finance processes.
- Identify and escalate weaknesses or risks in payment flows, reconciliations, cash handling, or supporting documentation.
- Coordinate with external accountants, auditors, advisors, and internal teams.
- Support budgeting, forecasting, and project / SBU financial tracking.
- Build and document scalable processes and finance discipline across the group.
- Manage and develop the finance team under the CFO.
Profile
- 7+ years of experience in finance, controlling, reporting, or management accounting.
- Strong experience with reconciliations, finance controls, and operational finance processes.
- Exposure to banking / PSP onboarding, treasury, receivables control, or payment environments is a strong plus.
- Experience with project cost tracking is highly desirable
- Strong Excel / Google Sheets skills.
- Comfortable working in a multi-entity, non-ERP environment.
- Structured, reliable, hands-on, and execution-driven with strong attention to detail.
- Commercially aware, with the ability to connect financial data to business impact.
- Able to improve processes and lead people with clarity and discipline.
- Fluent in Greek and English.
Why join
You will play a central role in shaping and strengthening the finance function of a growing organization, working closely with senior leadership and helping build stronger financial visibility, control, and operating discipline across the group.

