Role Description
Responsibilities:
Recording of daily book keeping and processing of payments and deal related cash flows
Assist in the preparation of VAT and Corporate Tax Returns
Assist the manager and senior accountants on specific tasks, including investment structuring and deal closings
Work on monthly reporting and the preparation of statutory financial statements
Preparation of periodic reporting to the Luxembourg central bank and CSSF
Assist on the audits
Intercompany account reconciliation
Electronic filing of accounts
Letter or facsimile for business requirement
Issue of audit confirmation letters
Organise accounting files Requirements:
1-3 years’ experience
University degree in accounting
Strong knowledge of Microsoft office
Fluent in English, French or German a plus
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