Poland
19.08.2024
Iyuno is a global entertainment technology and localization company serving the world's leading entertainment studios in dubbing, subtitling and media services with 67 offices across 34 countries. We provide end-to-end global media services that enhance global storytelling through expert fluency, a seamless and secure experience and connected network. A technology trailblazer with grounded core values cantered around quality and simplicity in an ever-changing industry. Using its sophisticated in-house technology for all product and service offerings. With over 35 million subtitles and 10 million dubbed minutes of content in 100+ languages, Iyuno is focused on connecting people and connecting content to the world. If content localization and entertainment are your passion, then this may be the job for you. We would like to welcome you to join us while we grow to connect video and people.
To find out more about Iyuno, please visit our official website at www.iyuno.com.
Qualifications:
ACCA, CIMA or Statutory auditor qualification will be a big advantage.
Minimum 5 years’ experience in finance reporting function (or BIG4 financial audit experience) including people management.
Team management experience with small staff.
Very good knowledge of MS Excel: file consolidation, Pivot Tables, excel formulas, ERP systems (Navision would be an advantage).
Fluent English is a must.
University degree (Accountancy / Finance preferred).
Experience in finance and business process changes.
Capability in defining rules and processes.
Able to present analytical skills.
Self-motivated, ability to work under pressure to strict deadlines.
Desirable experience in B2B services sector.
Job Description:
Responsibility for reporting of entities located in BENE countries.
Be an active business partner to country managers by providing support and challenge operations.
All group reporting requirements and communication with the corporate team located in US – Los Angeles.
Preparation of the monthly management accounts and support of the local country managers.
Providing feedback to cash management team in the weekly cash management cycles.
Responsibility for annual budget and forecasts completion with full understanding.
Support in the finance restructuring / transformation processes.
Being the first point of contact in all finance related matter for the entities covered.
Cooperation and oversight over the accounting processes and close cooperation with accounting team responsible for accounting functions.
Coordination of the month close process.
Responsibility for all statutory reporting and audits.
Cooperation with external tax advisors in relation to local tax fillings (both VAT and CIT).
Reporting to the Finance Director in Sweden and Senior Finance team in EU.
This is what we offer:
Stable employment based on a full-time contract.
Private medical care.
Co-financed sports card.
Flexible working hours.
International environment.
Work as a part of dynamic team of professionals from various regions of the world.
Opportunities to develop new skills and gain experience.
Challenging job and personal development.