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Description:

- Lead the cash distribution processes in and out of the project entities, coordinating with the relevant parties and preparing the related documentation such as funds flows, forecasts, notices..
- Review the financial statements, involving auditors, local services providers and internal finance/tax teams in order to ensure that the entities remain compliant with internal and external requirements;
- Provide support to the daily activities of these entities: cash management, accountants monitoring, attend board meetings...
- Participate in the settlement of complex transactions including acquisitions, divestments, refinancing of large infrastructure assets, mergers and derivative transactions.

Profile:

- Background in Tax/Audit/Accounting;
- 6-10 years of experience either in a Big 4 or assimilated working environment or in a PE/RE firm;
- English language perfectly fluent;
- You can demonstrate a fast and successful professional experience;
- Knowledge of LUXGAAP; IFRS is a plus;
- You are dynamic, ambitious and you enjoy challenges

Offer:

- Our client is an international alternative asset manager;
- It offers a CDI in a stable and dynamic team.

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