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Salary
$70k – $81k per year (gross)
Location
In office (Luxembourg City)
Seniority
Senior
Overview
Company
Impact
Profile match

CSC

Founded in 1899 and headquartered in Wilmington, Delaware, Corporation Service Company (CSC) is a global leader in business administration, corporate governance, and legal compliance solutions. The enterprise offers a broad suite of services encompassing entity management, registered agent representation, corporate tax software, fund administration, and enterprise digital brand protection. Serving multinational corporations and financial institutions across more than 140 jurisdictions, it helps organizations streamline regulatory requirements and safeguard critical operational assets throughout their business lifecycle.

Senior Fund Accountant

Location: Luxembourg

Job type: Permanent, Hybrid, 3 days per week in the office

Hours: Full-time, 40h/week

The salary range for this specific role will be € 60.000 - € 70.000 gross per year.

The final salary will be determined based on relevant skills, experience, and role scope, in line with our objective and gender-neutral compensation framework.

Main duties:

  • Prepare accounting entries and maintain accurate books and records for Luxembourg fund structures (e.g., RAIF, SIF, SICAV/SICAF, SCSp).
  • Prepare NAV calculations, capital accounts, management fees, and other recurring fund-level workings.
  • Ensure all accounting work complies with Lux GAAP and/or IFRS as applicable.
  • Support month-end, quarter-end, and year-end closing processes and reconciliations.
  • Prepare performance fee and carried interest calculations (including waterfall/hurdle mechanics) under guidance from senior team members.
  • Assist in preparing PCAPs (Payment & Capital Account Statements), investor notices, and related communication templates.
  • Assist with the preparation of capital call notices, subscription/redemption workings, and investor transfers.
  • Maintain accurate investor allocation data and support updates to investor registers.
  • Work closely with AML/KYC, Transfer Agency, Legal, Fund Administration, and Operations teams to gather required documents and ensure smooth execution of investor and fund transactions.
  • Assist with onboarding activities for new funds and new investors, including preparation of operational documentation.
  • Prepare investor reporting packages, capital account statements, and respond to routine investor data requests.
  • Assist in the preparation of annual financial statements and provide required support for yearly audits.
  • Ensure accurate maintenance of data required for AIFMD, CSSF, and other regulatory reporting activities.
  • Support implementation of system enhancements, automation initiatives, and data quality improvements.

Key Competencies

  • Ability to work independently, manage deadlines, and handle multiple tasks simultaneously.
  • Strong organizational, coordination and communication skills.
  • Coaching and Mentoring skills
  • Demonstrated good work ethic, motivation, and attention to detail.
  • Technical mindset & Analytical thinking
  • Problem-solving and critical thinking
  • Professionalism and accountability
  • Teamwork and collaboration
  • Dedicated and Results-Oriented
  • Client-Focused and Committed
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