Location: Luxembourg Kirchberg, Luxembourg
Objectives of the Role: Responsible for overseeing the financial operations in relation to the investments held by Cerberus’ Luxembourg and foreign deal SPVs (“the Luxembourg investment platform”) and the management company, including new acquisitions, ongoing management, and preparation for exits. Make decisions and ensure the platform meets its goals and objectives.
Key Responsibilities:
Including, but not limited to:
Directorship
Directorships on Luxembourg and foreign deal SPVs.
Make investment decisions and ensure these investments align with Cerberus’ investment goals and strategy.
Obtain advice and recommendations from affiliated investment professionals and asset managers.
Select and appoint asset managers who will handle the day-to-day management of the investment.
Oversee the performance of investments.
Stay updated on industry trends and regulatory changes.
Financial Controlling
Active contribution to successful onboarding and integration of new investments.
Ensure accuracy of all financial reporting requirements and oversee financial operations, including accounting and budgeting.
Active involvement in the accounting of deal closings and quarterly reporting.
Ensure compliance with all financial regulations and standards.
Analyzing financial data to provide (strategic) recommendations.
Develop and implement financial policies and procedures.
Monitor and manage cash flows, ensuring the deal SPVs financial stability.
Coordinate and lead the annual audit process and other financial and tax reporting requirements.
Provide financial expertise to other departments, including tax and legal.
Ensure effective and efficient use of corporate service providers.
Contribute and initiate optimalization of the relevant processes.
Key Skills and Qualifications
Right to Work in Luxembourg; Luxembourg resident or Grand Region
Minimum of 8 - 10 years of experience in a Financial/Accounting Management Role
Experience in trust business or asset management
Willingness to travel
Strong understanding of financial management, financial reporting, budgeting, and accounting principles of international and LUX GAAP
Strong sense of process optimalization and smooth collaboration with other offices in the group
Expertise in financial analysis, risk management and financial forecasting
Excellent leadership, communication, and analytical skills
Proficiency in financial software and tools, like Excel, Power-Bi and other reporting tools
Market knowledge about finance investments and return optimalization
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