Our client is a famous european institution located in Kirchberg (Luxembourg). They are looking for a Officer – Portfolios & Liquidity Operations M/F for an assignment of 2 months with possibility of extension until 1 year.
Reporting line: The incumbent(s) report to and work under the supervision of senior members of the P&LO Division.
Responsibilities: • Management of cash flow relevant administrative activities under different product lines (e.g. processing draw-downs/repayments of Private Equity funds, guarantee calls and disbursement requests; preparation of cash flow forecasts or reconciliation of cash positions with intermediaries);
Qualifications: • University degree (minimum an equivalent to a Bachelor), in Finance, Economics, Business Administration or similar fields; • A minimum of three (3) years’ relevant professional experience in finance, financial administration, accounting, audit or similar environment; • Experience with VBA, efront or Tableau would be an advantage; • Excellent knowledge of English, both oral and written. Knowledge of other EU languages would be an advantage.
Competencies: • Ability to work within tight deadlines, to react swiftly and effectively to new situations in a client-focussed and high quality service environment; • Excellent organisational skills with an ability to prioritise; • Disciplined approach whilst maintaining creativity and lateral thinking towards troubleshooting and problem solving; • Excellent interpersonal skills for dealing with internal and external clients; • Team player. #LI-DNI
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Summary
Job Type
Temporary
Industry
Banking
Location
LUXEMBOURG
Specialism
Accountancy and Finance
Pay
Depends on profile
Ref:
1433788
Talk to a consultant
Talk to Camille Codron, the specialist consultant managing this position, located in Luxembourg