Financial Controller

February 18, 2024
Offerd Salary:Negotiation
Working address:N/A
Contract Type:Other
Working Time:Negotigation
Working type:N/A
Ref info:N/A
Financial Controller
  • Finance & Strategy
  • Helsinki
  • Permanent
  • 19.01.2024 Finance & Strategy Permanent Open position Apply here

    At Rovio you will get to work with multiple groundbreaking IP's including one of the most famous game IP's in the world: Angry Birds! We craft joy with player-focused gaming experiences that last for decades. In order to do that, we know that people need to bring their own joy to what we do. That's why we value work-life balance, say no to crunch culture, and welcome people from all walks of life to join the flock. Today, we are a proud team of 500+ caring and talented professionals representing over 50 different nations.

    We trust our teams to work autonomously by providing them the right tools and level of responsibility. We believe in our teams to remain creative and to keep learning – as well as ensuring everyone has opportunities for personal growth.

    Rovio Finance supports our business with accurate and timely analysis and insight. We manage key processes such as budgeting, forecasting, profitability analysis and monthly, quarterly and yearly closing and reporting. In addition to supporting our business, Rovio finance organization ensures our statutory financial reporting is accurate and timely.

    We are looking for a Financial Controller for our Finance team at Rovio. As a Financial Controller you will drive the global monthly accounting for Rovio and our subsidiaries including closing and reporting. You will contribute to the development of our group controlling function and actively participate in improving processes and documentation at a global level.

    You will have impact and fun at work by doing:
  • Ensuring accurate and timely financial reporting & compliance
  • Managing and coordinating foreign subsidiaries' monthly accounting close process with external service providers
  • Group Consolidation, P&L, balance sheet and cash flow statements
  • Monthly, quarterly, and annual reporting (FAS and IFRS), preparing P&L, balance sheet and cash flow statements
  • Preparation of Statutory Financial Statements
  • Developing accounting tools and practices
  • Preparation of supporting material for reviews and auditsParticipation in different projects from a finance perspective
  • Experience and skills we are looking for:
  • Experience in similar fields of responsibilities for a company with similar size/complexity in a muti-national group structure.
  • Experience in group accounting and reporting
  • Knowledge in Finnish accounting standards (FAS) and IFRS
  • Good English skills
  • It would be nice if you also have the following skills:
  • Familiarity with accounting systems such as Microsoft Navision, Clausion Financial performance management (FPM) helps to get started quickly with the tasks. However, this is not a strict requirement, these can be learned on the job, and more important are the working principles
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