Centaur is a specialist alternative investment fund administrator founded in 2009 which provides its services to high profile investment funds.
Centaur has a strong pipeline of new business and expects its growth to continue in Ireland and other locations. Centaur’s ethos is focused entirely on the quality of service and accountability it can offer its clients.
Centaur Fund Services (Luxembourg) S.A. is seeking energetic and ambitious individuals who are interested in furthering their career in an entrepreneurial environment with an experienced management team.
These demanding roles call for professionals who are enthusiastic to be part of a team that will help Centaur continue its progression to becoming a leading service provider.
Role description The role consists of being responsible for maintaining the accounting records of the assigned funds from start to finish in an accurate and timely manner, following established controls and procedure, and ensuring superior client service.
This will include (but not be exclusive to) the following : Develop and maintain relationships with the stakeholders of the funds Process capital activity for the funds in the accounting systems, including commitments, capital calls, distributions, drawdowns, rebalances and transfers Processing of trades, cash transactions, income and expenses on a daily basis Prepare daily trade, portfolio and cash reconciliations, investigate and resolve any breaks / discrepancies Prepare cash flow projections Update and maintain accounting records in accordance to IFRS, GAAP and internal controls and policies Process payment of expenses Calculate preferred return, waterfall, management fee and accruals Prepare funds’ net asset value calculations and investor allocations in line with clients requirements and deadlines Respond to client-
specific requests / inquiries and proactively anticipate client needs Preparation of financial statements, notes, supporting information and tax schedules, liaising with auditors and ensure the reporting deadlines are met Candidate requirements A university degree (B.
A., B.Sc.) in Accounting / Business / Finance, together with two or more relevant experience in a Private Equity role Microsoft Excel and Word expertise, and proficiency in the rest of the Microsoft Office packages Strong attention to detail and exceptional analytical, organizational and time management skills Knowledge of accepted accounting standards, including Lux GAAP, IFRS, US GAAP Understanding of PE / RE fund structures, holding companies, SPVs, agreements and investment strategies FIS Investran and / or eFront knowledge would be an advantage but not a necessity Self-
other languages, particularly French would be an advantage. Interested? Please send your CV and motivation letter by email via jobs.lu.