Job Description

Job description:

Key Responsibilities:? Cash management (incl. preparation of payments, monthly cash balances reporting)? Day to day accounting and reporting for various companies of our investments? Preparation of financial statements and audits coordination (drafting Financial statement, ticking figures and notes, support in audit requests, confirmations etc.)? Preparation of financial information / analysis as required? Assistance & coordination with preparation of Income Tax & VAT returns, and other tax compliance reporting (such as FATCA, CRS, Withholding tax)? Implement & maintain electronic & hardcopy files and keeping the database up to date (supplier acceptance and vendors list)? Preparation of BCL and CBCr reporting? Support AML / KYC files and ensure coordination with US ops team? Support in drafting legal and compliance documentation? General coordination for transactions occurring at Luxembourg companies’ level? Assist the Board of Managers by providing them with the necessary information / documentation? Participate in the process documentation efforts and creation of SOPs.? Identify process gaps and initiate process improvement projects.Desired Candidate Profile:? University Degree in Accounting, Economics or Finance? Advanced knowledge of MS Office tools.? Very good written & spoken communication skills, fluent in English. French is considered as an asset.? Good analytical & problem-solving skills. Pro-active & Positive attitude.? Ability to work efficiently and effectively in a team.? Excellent customer facing skills and ability to build rapport with clients.? Strong knowledge of Fundamental Accounting/General Accounting? General understanding of Investment Banking terms i.e. Capital Markets, Private Equity, Mutual Funds, Hedge Funds, Real Estate Funds ? General understanding and hands on experience of Private Equity, Real Estate, Hedge Fund