Voodoo is a tech company that creates mobile games and apps(e)With 6 billion downloads and over 300 million monthly active users, Voodoo is the #2 mobile publisher worldwide in terms of downloads after Google(e)
The company is one of the most impressive examples of hypergrowth in the ecosystem, having raised over $1B and backed by Goldman Sachs, Tencent, and GBL(e)Deciding to expand its portfolio of products further, Voodoo has more recently announced that it will invest $200M in blockchain gaming studios, to lead the transformation of mobile gaming.
Voodoo is now a team of over 700 employees worldwide, we’re looking for talented individuals from across the globe to come and entertain the world with us.
Team
As a French tech leader and global successful company, our Corporate teams are constantly looking for ways to innovate and increase organization efficiency to keep Voodoo ahead of the market. Voodoo’s Corporate function is composed of four teams: People, Legal, M&A and Finance, working together to drive Voodoo’s success.
We are looking for a Head of Accounting, Tax & Treasury who will oversee all sides of accounting operations and tax preparation - both for statutory and IFRS consolidated financial statements - and that will be in charge of Treasury & Cash Management activities for the Group.
Beyond that, this high-level position also requires strong expertise in corporate finance, M&A support and budget planning.
You will report to the CFO, and have 3 direct reports for a team representing 12+ people :
- Accounting & Tax France;
- Consolidation & International affiliates;
- Treasury & Cash management.
Under the responsibility of the CFO, the finance department also includes a controlling team and a M&A manager with whom you will work closely.
Role
- Coordinate the preparation of annual, quarterly, and monthly reports (statutory and IFRS) and ensure a high level of quality on all accounting production ;
- Manage the central accounting team for the international team tasked with overseeing local CPAs;
- Lead on the relationship with our auditor;
- Ensure, together with the CFO, the quality of our in the relationship with our financial partners (banks, lenders, rating agencies, equity investors);
- Lead the tax structuring workstream, ensure that the company complies with tax laws and build (together with the controlling team) a robust tax planning;
- Strongly support M&A initiative, especially with regard to accounting & financial integration, carve out, pro forma accounting, support for due diligences / legal issues / data room updates;
- Maintain stewardship for financial assets and debt, including overall leadership of the cash management, debt management and investment management functions of the organization and its affiliated entities;
- Oversee the development and update of the financial policies for working capital, treasury operations and FX & interest rate risk management;
Profile
- 5-10 years of experience in a leading audit firm /Big4 such as Mazars, Grant Thornton, Deloitte, EY, PwC and KPMG..) + 3-5 years in senior finance position within a Corporate (e.g(e)Accounting / Controlling / Consolidation / Corporate Finance);
- Strong background in Accounting & Consolidation;
- Comfortable with financial risk management topics & treasury / financing activities;
- You speak and write French and English fluently;
- Team player;
- Proven leadership skills, ability to lead by example and a willingness to move the team forward;
- Excellent interpersonal communication, negotiation, and presentation skills across all staff and stakeholder levels;
- Integer with distinct objectives & results-oriented mindset;
- Demonstrated strategic, analytical & problem-solving skills, as well as agility to keep pace with the company and support its various initiatives;
- Team & Hands-On working style;
- Good organizational skills, autonomous and reliable(e)
Benefits: competitive salary, lunch vouchers, healthcare, child day care, wellness activities, unlimited vacation policy, remote days.