Talent.com
Cette offre d'emploi n'est pas disponible dans votre pays.
Finance Officer

Finance Officer

BTG Pactual Europe S.A.Luxembourg, Luxembourg
Il y a 8 jours
Description de poste

About BTG Pactual Founded in 1983, BTG Pactual is now the largest investment bank in Latin America. We're committed to a future where investing is dynamic and straightforward, which is why we're undergoing a digitization and expansion process across various fronts. Our entrepreneurial mindset allows us to empathize with our clients and understand their challenges, leading to swift, autonomous, and bureaucracy-free solutions. Renowned for our excellence, flexibility, and versatility, we serve clients from our offices in Brazil, Chile, Colombia, Peru, Mexico, Argentina, the United States, United Kingdom, Portugal, Spain, Luxembourg, and Saudi Arabia. For more information visit www.btgpactual.com. The role We are looking for an Finance Officer to join an international team of professionals in our Luxembourg office on a full-time permanent basis. You will be working alongside our global offices and in frequent communication with international teams. The successful candidate will have a strong understanding of accounting practices, excellent working knowledge of excel and a willingness to get involved. You will be joining an experienced finance team so both teamwork and communication skills will be paramount. You will Perform services in the areas of accounting, legal reporting and risk management on their own initiative and in accordance with instructions with a high quality of work. Roles and Responsibilities Preparation / processing of the operational accounting of BTG EU and its subsidiary(ies), including all accounting transactions, account reconciliations and preparation of monthly VAT returns. Preparation of monthly and annual financial statements including internal reporting to the Executive Board and the Group Financial controlling : analyses, budgeting, P&L reporting, KPIs. Risk management : calculation of regulatory stress test plus further simulation scenarios if required, creation of ICAAP, maintenance and further development of work instructions. Overall bank management / management information system, including timely preparation of regular reporting, data collection / analysis as part of business planning / preparation of annual financial statements. Reporting : Preparation of all statutory, regulatory and statistical reports to the CSSF and the Luxembourg Central Bank (BCL) in accordance with FinRep including credit portfolio (dual control principle). Assumption of representation and control tasks within the division to ensure general functionality. Desired Qualifications & Experience Degree in financial accounting or comparable training with professional experience Essential Skills & Experience Responsibility, profit and cost awareness Ability to work under pressure / high degree of integrity and flexibility Careful and conscientious Good foreign language skills : English spoken and written Very good Excel skills and good IT technical understanding Desired Skills & Experience Knowledge of SAP accoun...

TLNT1_LU