Financial Reporting Accountant

Modern Times Group MTG AB

Sweden

Accepting Applications Full-time On-site
Posted 2 hours, 20 minutes ago 0 views 0 applications
Job Description
**About MTG** MTG is the largest listed mobile gaming group in Europe. We own and operate a portfolio of international game studios behind games played by millions of people, including RAID: Shadow Legends, Forge of Empires, Warhammer 40,000: Tacticus, F1 Clash, Bloons TD 6, and the world\-leading casual word games developed by PlaySimple. In 2025, we completed the acquisition of Plarium, doubling our scale and establishing MTG as a leading global mobile\-first gaming group. We've kicked off a new chapter of our evolution with a clear ambition to be one of the leaders of our industry. At MTG, we're guided by six values that shape how we work together: Trust, Inclusion, Empowerment, Ambition, Curiosity, and Play. We lead with honesty, lift each other up, take smart risks, and never lose sight of the joy in what we do — whatever the role. **The role** We're looking for a group **Financial Reporting Accountant** to join our accounting and financial reporting team at MTG HQ, based in our offices in the heart of Gamla Stan, Stockholm. Reporting to the Group Head of Financial Reporting, you'll sit at the centre of our group accounting function, working across consolidation, external reporting and M\&A\-related accounting in a business that moves fast and spans multiple geographies. This is a hands\-on role for someone who enjoys getting into the detail, takes pride in accurate and timely reporting, and is comfortable working across a complex, multi\-entity group. You'll work closely with subsidiary finance teams, our external auditors, and internal stakeholders including Treasury, Investor Relations, FP\&A, and the M\&A teams. This role is initially a two\-year fixed term to cover maternity leave, but knowing how fast we move, we'd expect this person to continue to grow with us, either in the holding company or within one of our subsidiaries. We love globally minded people who have a great sense of humour, like to get their hands dirty, and are real team players. If that sounds like you, let's talk. **What you'll do** Group consolidation and financial reporting * Co\-own the consolidation of the group's monthly, quarterly, and annual accounts * Prepare and review consolidated financial statements in accordance with IFRS * Manage intercompany eliminations and ensure accuracy across all reporting entities * Train and support subsidiary finance teams on accounting, reporting standards, and system\-related questions * Drive the continuous development of consolidation procedures, processes, and IFRS compliance across the group * Maintain and evolve group accounting policies as the business grows External reporting and audit * Lead the annual report process end\-to\-end, including XBRL/ESEF tagging * Take responsibility for the preparation and quality of interim reports * Act as one of the key points of contact for external auditors and manage the audit process efficiently * Own internal controls over financial reporting and ensure they remain robust and fit for purpose Treasury, financial net and cash flow * Work closely with the treasury function on cash flow reporting, forecasting, and analysis * Prepare and maintain the group's consolidated cash flow statements * Own the reporting and accounting for the group's financial net, including interest, FX, and other financial items * Manage lease accounting across the group in accordance with IFRS 16, including maintaining the lease register and ensuring accurate recognition of right\-of\-use assets and lease liabilities M\&A integrations * Participate in acquisition analyses and support the financial due diligence process * Take responsibility for integrating acquired companies into the group's financial reporting structure and systems **What you bring** * A degree in Accounting, Finance, or a related field; a background in an audit firm is a strong plus * 5–7 years of experience in a similar group accounting or reporting role * Solid hands\-on experience with group consolidation, monthly/quarterly close, and IFRS reporting * Proven experience preparing consolidated cash flow statements * Strong track record in external reporting, including annual reports, interim reports, and XBRL/ESEF tagging * Comfortable owning internal controls over financial reporting and developing procedures and processes * Comfortable working with external auditors and managing audit processes * Advanced Excel skills; financial modelling experience a plus * Strong communication skills and the ability to collaborate effectively across functions and geographies * Comfortable working across time zones occasionally * Prior experience in a cross\-cultural environment and an ability to adapt to different working styles * Fluent in English, written and spoken; Swedish is a plus but not required **Why MTG?** You'll be joining a lean, high\-quality finance team at the centre of an internationally ambitious gaming group, working on genuinely interesting accounting challenges across consolidation, cash flow, and public\-company reporting. Our Gamla Stan office is one of Stockholm's most beautiful workplaces, and our culture is exactly what you'd expect from a gaming group: team\-first, endlessly curious, and always playing to win. *MTG is an Equal Opportunity Employer. Our policy is clear: there shall be no discrimination on the basis of age, disability, sex, race, religion or belief, gender reassignment, marriage/civil partnership, pregnancy/maternity, or sexual orientation. We are an inclusive organization and actively promote equality of opportunity for all with the right mix of talent, skills and potential. We welcome all applications from a wide range of candidates. Selection for roles will be based on individual merit alone.*
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