Financial Management Role
Job Description:
We are seeking a highly skilled financial management professional to join our team. The successful candidate will be responsible for overseeing the general ledger process, preparing comprehensive financial reports, and coordinating banking activities.
This role is ideal for an experienced accountant looking to take on new challenges and responsibilities within a dynamic organization.
Key Responsibilities:
* Manage the general ledger process for assigned entities, ensuring accuracy, timeliness, and alignment with internal and regulatory expectations.
* Prepare detailed financial reports and statements used for internal oversight and decision-making by senior management.
* Coordinate banking activities, including payment execution, reconciliations, and cash flow monitoring.
* Handle VAT calculations and reconciliations, as well as ensure correct documentation for tax-related filings.
* Serve as the primary liaison for external stakeholders, such as auditors, legal advisors, and financial institutions, ensuring deadlines are met and communication remains transparent.
Requirements:
* A minimum of four years of accounting experience in Luxembourg, preferably within a holding, fiduciary, or family office environment.
* Fluency in Dutch and English, both essential for handling internal and cross-border communication.
* A university degree in accounting, finance, or a related domain.
* Full proficiency in the Luxembourg accounting framework and the ability to manage an accounting file autonomously from start to finish.
* Experience working with SOPARFI or similar investment structures is considered a valuable asset.