About this role
Key Responsibilities The role will cover the following areas: Accounting & Financial Reporting • Manage accounting entries and general ledger activities • Support monthly, quarterly, and annual closing processes • Assist in the preparation of financial statements (Lux GAAP / IFRS) • Perform account reconciliations (bank, intercompany, accounts) Treasury • Monitor liquidity and manage cash flow activities • Support funding and cash management operations • Liaise with banks and financial counterparties • Regulatory Reporting • Support the preparation of regulatory reports (e.g. CSSF, BCL, ECB if applicable) • Ensure compliance with regulatory deadlines • Collaborate with internal control and compliance functions Tax • Support tax-related activities (VAT, corporate tax, local filings) • Liaise with external tax advisors • Operations Oversight • Oversee and monitor outsourced operational activities (e.g. service providers) • Ensure data quality and process accuracy • Support governance and internal control activities Requirements Education & Experience • Degree in Economics, Finance, or related field • 3–7 years of experience in accounting / finance roles • Experience in banking, financial services, or holding structures is strongly preferred • Knowledge of the Luxembourg regulatory and accounting environment (Lux GAAP) is a strong plus Technical Skills • Solid knowledge of accounting principles (Lux GAAP and/or IFRS) • Familiarity with regulatory reporting (CSSF/BCL/ECB) is a plus • Basic understanding of treasury and cash management • Good knowledge of local tax framework • Advanced Excel skills Languages • Fluent English (mandatory) • Fluent Italian (strongly preferred) • French is a plus Soft Skills • Strong attention to detail and accuracy • Ability to work autonomously and manage priorities • Comfortable operating in structured and regulated environments • Strong interpersonal and stakeholder management skills