Job Description
Responsibilities:
Responsible for all tasks associated with clients' Luxembourg financial structures
Reviewing financial statements. Perform annual conversion to Luxembourg GAAP and provide local expertise Support the NAV review and sign off in accordance with the set procedures
Work with other office departments and locations to ensure all processes are carried out prior to the valuations being finalized
The candidate will be required to assist with daily, weekly and monthly NAVs for both Luxembourg Alternative Funds Ability to manage client relationships and assist in the preparation of Financial Statements for the funds
Co-ordination and resolution of all fund-related issues Requirements:
University degree ideally in Accounting or Finance
ACCA qualifications a definite plus
3-5 years of relevant experience gained ideally in a trust compan...