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Luxembourg-Kirchberg

Junior Risk Manager (Real Estate & Infrastructure AIFs) (m/f/d)
Job ID: 52142
Levels:
Junior
Specialisations:
AIFs I Real Estate I Risk Management
Languages:
English I French I German

For our new client, an international asset manager with an expanding team in Luxembourg, we are currently looking for a

Junior Risk Manager (Real Estate & Infrastructure AIFs) (m/f/d)

for their office in Luxembourg-Kirchberg.

Your responsibilities:

  • Support the valuation function for AIFs from a risk management perspective
  • Optimisation of methods and procedures used for risk identification, assessment and control
  • Analysing risk limits of the company’s new funds
  • Monitoring and assessing fund risks, especially operational, market, liquidity and credit risk
  • Prior analysis and monitoring of (less) liquid assets
  • Risk valuation for alternative investment funds (real estate, infrastructure, equity)
  • Analysis of potential target investments from a risk management perspective, including continuous monitoring and limitation of the underlying risks

Your profile:

  • University background with a degree in finance, economics or equivalent
  • At least 1 year of relevant risk management or valuation experience in the investment funds industry and ideally UCITS (including applicable investment restrictions),
  • First knowledge in AIFs (real estate and infrastructure) and ideally in UCITS
  • Being fluent in English and German or French
  • Good knowledge of MS-Office products
  • Compliance knowledge is a plus

If you are interested in this position, please forward your application documents (including salary expectation) via our form.

Accounting Expert (m/f/d)
Job ID: 5215
Levels:
Expert
Specialisations:
Accounting
Languages:
English I German

For our new client, an international asset manager with an expanding team in Luxembourg, we are currently looking for a

Accounting expert (m/f/d)

for their office in Luxembourg-Kirchberg.

Your responsibilities:

  • Independent preparation of month-end reportings and annual accounts according to Lux GAAP and IFRS
  • Day-to-day book keeping of financial and accounting transactions in SAP
  • Account payables management including reviewAnalysing risk limits of the company’s new funds
  • Maintenance of the standard chart of accounts in Lux GAAP and IFRS within SAP
  • Liquidity management and cash-flow forecasting
  • There is the possibility to grow within the next 3 years by expanding responsibilities to the German Branch under German GAAP (HGB)

Your profile:

  • University background with a degree in accounting and controlling
  • At least 3 years of relevant working experience
  • Expertise in IFRS and Lux GAAP
  • Expertise with stand-alone financial statements and consolidations (with German GAAP (HGB) being a potential to expand responsibilities)
  • Being fluent in English and German
  • Good knowledge of MS-Office products
  • SAP experience is considered a plus

If you are interested in this position, please forward your application documents (including salary expectation) via our form.

Senior Risk Manager (Real Estate & Infrastructure AIFs) (m/f/d)
Job ID: 5214
Levels:
Senior
Specialisations:
AIFs I Real Estate I Risk Management
Languages:
English I French I German

For our new client, an international asset manager with an expanding team in Luxembourg, we are currently looking for a

Senior Risk Manager (Real Estate & Infrastructure AIFs) (m/f/d)

for their office in Luxembourg-Kirchberg.

Your responsibilities:

  • Support the valuation function for AIFs from a risk management perspective
  • Optimisation of methods and procedures used for risk identification, assessment and control
  • Analysing risk limits of the company’s new funds
  • Monitoring and assessing fund risks, especially operational, market, liquidity and credit risk
  • Prior analysis and monitoring of (less) liquid assets
  • Risk valuation for alternative investment funds (real estate, infrastructure, equity)
  • Manage and coach the AIFs and UCITS teams
  • Implementation of regulatory risk management requirements for AIFs and UCITS
  • Analysis of potential target investments from a risk management perspective, including continuous monitoring and limitation of the underlying risks

Your profile:

  • University background with a degree in finance, economics or equivalent
  • At least 5 years of relevant risk management or valuation experience in the investment funds industry and ideally UCITS (including applicable investment restrictions),
  • Good knowledge in AIFs (real estate and infrastructure) and ideally in UCITS
  • Being fluent in English and German or French
  • Good knowledge of MS-Office products
  • Compliance knowledge is a plus

If you are interested in this position, please forward your application documents (including salary expectation) via our form.