Job Description
Our client is a major player in the alternative investments industry. In this company, you will enjoy working with highly competent professionals in an international and dynamic environment. The company will support you in your development, offer flexible working hours and working-from-home days, and possibilities to develop your career.
Your Responsibilities:
- Review property reporting packages from local service providers to ensure accuracy and completeness
- Prepare and review general journal entries, intercompany balances, and regular settlements
- Assess GAAP adjustments (local and group) in line with internal accounting policies
- Analyse key financial metrics including net operating income, capital expenditure, and intercompany reconciliations
- Support the budgeting process and conduct periodic cash distribution and repatriation analysis
- Coordinate monthly, quarterly, and annual group reporting, including statutory accounts and group consolidation
- Liaise with external auditors and prepare ad hoc financial reports and reconciliations
- Approve invoice payments and review compliance with external debt covenants
- Support asset management with financial analysis and assist with onboarding, acquisitions, and disposals
- Manage third-party relationships and monitor cash management requirements
- Liaise with tax advisors to ensure investment structures remain compliant and tax filings are up to date
- Review and submit periodic VAT returns
- Ensure legal and statutory compliance in coordination with external legal advisors
- Identify and implement continuous improvements to financial reporting processes
- Support and mentor junior team members
- Collaborate with third-party administrators and finance teams across Europe
Your Profile:
- University degree in Accounting, Finance, Economics or equivalent
- From 5 years of relevant professional experience, for example in audit or accounting within an Audit firm, corporate services provider, fund administration or inhouse dealing with Real Estate investments in Luxembourg
- Strong knowledge of LUX GAAP (US GAAP or IFRS being an asset)
- In-depth understanding of P&L, balance sheet, and cash flow dynamics
- Fluent in English and Italian (additional European languages an advantage)
- Proficient user of MS Office and accounting software
- Excellent organisation skills
- Team player
- Goal oriented and hands on mentality
Could this be the right opportunity for you? Please do not hesitate to send your CV to Valérie Potier valerie.potier@andersonwise.com to be considered for this recruitment process. Your application will be treated with the utmost discretion.
When using our services, our clients require that we introduce candidates already in possession of a valid Luxembourg work permit. If this is not your case, we regret to inform you we will not be able to consider your application.
We take your privacy as our utmost concern and we manage your data with highest degree of confidentiality. Before applying to any of our opportunities, we invite you to read our privacy policy, available on our website.
We are an equal-opportunity employer and welcome candidates from all backgrounds to apply.