Published: 12 June 2024
Lausanne
100%
Permanent position
Job ads found online
SECUTIX is the market leader in advanced digital solutions for the events industry. Offering a seamlessly integrated and open cloud platform, SECUTIX gives organizations complete control and a suite of tools to help better understand and digitally engage with audiences, monetize products and services, secure operations and take audience experiences to the next level. SECUTIX serves a range of organizations on a global scale, including sport clubs, stadiums and arenas, museums, live entertainment organizations, leisure parks and festivals. Its emblematic customers include the UEFA, Ópera National de Paris, Centre Pompidou, Paléo Festival, Musée Picasso Paris and many more.
Our vision is to enable our event industry customers to take control of their ticket distribution and massively engage their audience.
SECUTIX SA is a leading provider of a cloud hosted SaaS Ticketing Software Products.
S-360 and S-MOBILE are innovative products and platforms providing business critical solutions to the Sports, Entertainment and Cultural Sectors.
Our mission is to be the global leader in SaaS solutions serving these sectors.
To accelerate our growth, SECUTIX is looking for a Senior Finance Manager based in Lausanne.
Financial Reporting
Oversee monthly Reporting of Income Statement and Balance Sheets for the Secutix Business Units, prepared by the Accounting Team located in Granada. Analysis of results thru Management Reporting. Deviations versus Budget, highlight of major variances on projects, etc…
Overseeing work of Accounting Team based in Granada – Spain in cooperation with the local Finance Manager
Discuss and align major bookings with Management
Annual Budget Preparation & regular updates
Organize Board reporting package and Board sessions for the various Secutix units
Work with Auditors to complete the yearly Audit within Corporate deadlines
Financial Analysis
Analytical analysis of business line’s P&L on a monthly basis
Financial leadership to assist the Secutix Management Team to optimize revenues & costs
Competitive analysis & benchmarking
Strong business perspective in budget preparation
Enhance cross-business lines best practices
Treasury
Implement a cash-planning strategy across Secutix geographies
Prepare & monitor Cash Forecast on a 12 months rolling basis
Optimize working capital requirement
Others:
Participate in the negotiation of JV agreements – Due Diligence process
Investors Relationship Management
A stimulating and professional working environment in a dynamic team with extensive expertise
Exciting projects for major customers in each sector (Centre Pompidou, Stade de France, Zoo de Beauval, ACO - Automobile Club de l'Ouest, Opéra national de Paris, Paris Musées, Pinault Collection | Bourse de Commerce, Paleo festival, etc.)
Flat organizational hierarchies and cross-functional teamwork
Close contact with customers in a creative industry
A supportive culture with excellent opportunities for professional and personal training and development