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Our client working on investment in real-estate is creating an office in Luxembourg.
The Finance Manager will manage alone the entity.
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THE ROLE
- Preparation of quarterly financial statements for each companies in LUX GAAP.
- Maintaining monthly bank reconciliation of all bank accounts for each company.
- Preparation of consolidation financial statements.
- Preparation of loan amortization schedules for all loans.
- Reviewing and analyzing all loan agreements.
- Preparation of annual budget and variance analysis schedules.
- Ensure tax installments.
- Assisting in collaboration with legal counsel in the practical organization of the board meeting.
- Preparation of reports for special request.
THE PROFILE
- Minimum of 5 years of experience in a similar position.
- Fluent in French and English. German is an asset.
- Strong knowledge of LUX GAAP.
- Good sense of planning, control and capacity working with taught schedules
- Strong analytical skills and attention to details.
- Proactive attitude and forward thinking.
- Ability to work alone and develop positive relationships.
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