You will support the preparation of monthly, quarterly, and annual financial statements.
Furthermore, you will manage claims and implement a comprehensive risk mitigation approach through internal control.
You will also plan budgets, periodic management reports, and cash flow reporting and forecasting; in addition to that, you will prepare and review statutory accounts.
Moreover, you will act as the main contact for auditors, bank partners, labor and tax authorities, and interface between local finance, the regional CFO, and various HQ departments.
Additionally, you are going to contribute to the further development of finance processes, IT systems, and the controlling function.
What you bring
You have a solid background of at least 5 years in financial roles, utilizing modern financial systems.
Moreover, you must have a bachelor's degree, ideally along with a master in a related field, with a strong understanding of financial and accounting principles.
You exhibit thoroughness and problem-solving skills, excelling at driving change and proactively improving processes.
Additionally, you are proficient in MS Office and in particular MS Excel; experience with SAP systems is appreciated.
You possess the ability to communicate excellently in both Swedish and English to a full professional proficiency.
Finally, you are flexible and willing to take business trips when required.