Supervisor, Fund Accounting - 3 Months CDD
Gen II Fund Services
Hesperange
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*What’s the role?*
This is a unique opportunity to join a dynamic and fast\-growing private equity fund administration service provider in our Luxembourg office. The right candidate will thrive in a collaborative, entrepreneurial environment and be part of the team to further develop the business through its growth journey.
The role sits within the Client Services Department, reporting to the Senior Manager/Manager. The main activities of the department are fund accounting, financial reporting, net asset value calculation, capital calls, distributions and investor reporting focusing on Real Assets.
*What you’ll be doing*
- Assist with the preparation and review of all client \& Investor specific deliverables, Net Asset Value calculations, Financial Statements, partner capital statements, capital call and distribution allocations and notices.
- Review journal entries, including cash and non\-cash transactions. Perform a thorough, detailed review of trial balance, supporting work papers, waterfall schedules, preferred return calculations, IRRs.
- Prepare and review capital events activities, including capital call allocations \& notices, capital distribution allocations \& notices, and ensure all supporting documentation are filed as per internal procedures.
- Actively lead and participate in weekly calls with clients as per engagement needs.
- Demonstrate understanding of the fund governing documents, industry guides, GAAP and international recognized accounting principles and standards.
- Ensure control processes are adhered to and complex matters escalated appropriately.
- Actively participate in new client onboarding and fund setup (including and not limited to building financial statements, dashboards, footnote disclosures, waterfalls, and management fee calculation files.
- Lead the coordination of year\-end audits.
- Liaise with external providers to provide documents supporting the preparation of tax returns (CIT, MBT, NTW and VAT).
- Coordinate ad hoc requests as needed (e.g., audit confirms, quarterly KPIs, contribute to due diligence reviews).
- Coordinate with Manager on delegating tasks to team members.
- Assist junior level employees in career development goals.
- Provide training and guidance to Junior fund accountants.
- Participate in evaluating talent by providing constructive, actionable feedback to the direct line manager.
- Ensure Gen II Luxembourg Services best practices and key policies are applied, and any significant issues are brought to the mangers attention.
- Bachelor’s degree in accounting or finance or a recognized accountancy qualification.
- Fluent in English, any other language is considered an asset.
- Good knowledge of Luxembourg corporate laws and private equity fund structures.
- Good Knowledge of US \& LUX GAAP.
- Strong knowledge of waterfall calculations.
- Excellent interpersonal and communication skills, including contributing to and being part of a strong team spirit.
- Result\-orientated with a sense of responsibility and commitment to delivering quality work.
- Ability to work autonomously, taking full ownership of assigned responsibilities.
- Excellent organizational skills complemented by a “can do” attitude.
- Competency in Microsoft Word, Excel, and Outlook
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