This is an excellent opportunity to join a growing international Investment company, conveniently located in the city center of Luxembourg.
A successful candidate will have a very strong comprehension and management of complex international corporate and finance structures, strong analytical skills and experience in debt investment.
Your Responsibilities :
Preparing and / or reviewing interim and annual financial statements
Execution and maintenance of the financial administration of a portfolio of international corporate structures
Analyzing financial and fiscal data to create internal and / or external financial reports and statements
Review of monthly and quarterly reportings and communication of these reportings to relevant parties
GAAP reconciliation between several GAAPs (US GAAP, UK GAAP, Lux GAAP, and / or IFRS; depending on reporting requirement)
Calculating tax provisions, review of tax returns
Involvement in transfer pricing discussions
Liaising with external parties like tax advisors, auditors, joint venture partners, asset managers, property managers
Communicating and coordinating with internal and international departments of Goldman Sachs and the stakeholders of the various investments
In charge of administrative / accounting issues and answering queries
Preparation / review of distribution mechanisms and repayments
Coaching, mentoring and development of (junior) accountants
Supporting and managing the relationship and effective communication between team members and the finance managers
Managing the relationship and effective communication with external auditors
Managing the relationship and effective communication with other departments (local and abroad)
Active participation to Board Meetings
Involvement in the set-up phase of new investments, and / or international complex structures as part of M&A, restructurings, and / or IPOs
In charge of the financial and fiscal corporate governance of the Luxembourg portfolio
Management and coordination of ad-hoc projects
Your profile :
At least bachelor's degree in Accounting / Finance / Economics or equivalent
5 years of experience either in accounting, audit and / or financial control; ideally with exposure to PE, RE and debts investments
Comprehension and management of complex international corporate and finance structures
Proven experience in financial services, international accounting, tax or trust environment
Fluency in English
Team-player with hands on mentality
Strong understanding of accounting techniques and procedures
Strong communication and leadership skills
Strong mentoring and training skills
Pro-active and service minded work ethics
Detail oriented and flexibility to respond to and adapt to changes
Proactively seeking opportunities for the development and / or improvement of processes
Knowledge of BOB 50 is an asset
Good command of excel
To include yourself within this recruitment process; to find out more information about this role; or to discuss other career opportunities we have available, please contact Renata Ubaviciute as soon as possible - CONFIDENTIALITY ASSURED - Please note that by applying your cv is sent directly, and only, to the consultant in charge of this opportunity.
Before applying to any of our opportunities, we invite you to read our privacy policy, available on our website.
We'll help you go further.