Danielle Yumiya
About
Danielle works in the following industries: "Computer Software", "Internet", "Information Services", and "Legal Services". Danielle is currently Finance Director, Latin America at Twitter. In Danielle's previous role as a Sr Finance Manager, Latin America at LinkedIn, Danielle worked in until Nov 2017. Prior to joining LinkedIn, Danielle was a Global Finance Manager at Fragomen, Del Rey, Bernsen & Loewy and held the position of Global Finance Manager. Prior to that, Danielle was a Sr Accounting Manager/Sr Finance Manager at Microsoft from Dec 2008 to Dec 2012. Danielle started working as Finance Manager at Serasa Experian in Jul 2008.
Danielle Yumiya's contact information is available for free on finalscout.com, a web-based professional networking database with more than 500 million business contacts and 200 million company profiles.
Danielle Yumiya's current jobs
Danielle Yumiya's past jobs
Led the Controllership function in Latin America. Responsible for finance and accounting best practices implementation and ensuring ongoing tax, legal and financial reporting compliance within the region
Responsible for setting-up the overall Finance structure and operations within the region, also leading and developing Treasury, Tax, Accounting, Compliance, Billing, FP&A, Legal, Procurement, reporting to the Global CFO.
Led Xbox finance project implementation in Brazil. Implemented legal entity for the new business model working in multiple cross functional teams. Responsible for reshaping and redesigning key financial processes and procedures, defining flows, R&Rs, building up sustainability models and project mappings. Managed Shared Services implementation and stabilization. Support on key financial processes such as budget and forecasting. Led the P&L process, ensuring accuracy and completeness of monthly P&L reporting, in compliance with corporate closing calendar Led the balance sheet process, ensuring accuracy and completeness of monthly balance sheet reporting and review of all balance sheet account reconciliations, according to corporate policies. Led cash management processes, ensuring compliance with corporate Global Cash Management & Treasury.
Responsible for budget and forecast, also ensuring correct accounting structure in order to accommodate new P&L model(s), implemented budget guidelines and new policies, supported correct allocation of costs, operational execution of quarterly budget processes, operational execution of quarterly forecasting as well as financial reporting (FP&A). Responsible for execution and consolidation of regional and investor reports (HQ). Supported management on global products launching and business cases.