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Permira is seeking a qualified accountant to join the Group Accounting team, supporting the AIFM in Luxembourg and its international operations. The role covers day-to-day accounting, month-end close, reconciliations, and statutory reporting within a global financial services environment.
Key duties include managing intercompany transactions, maintaining controls, and supporting audits, tax filings, and cross-jurisdictional reporting.
Permira is a global investment firm that backs successful businesses with growth ambitions. Founded in 1985, the firm advises funds across two core asset classes, private equity and credit, with total committed capital of approximately €89bn. The Permira private equity funds make both buyout and growth equity investments in four key sectors: Technology, Consumer, Healthcare and Services. The Permira credit funds support businesses with flexible financing solutions across Direct Lending, Strategic Opportunities and CLO Management. Established in 2007, the firm advises investment funds and products which have provided approximately €25 billion of debt capital to over 300 businesses.
Permira is a global investment firm that backs successful businesses with growth ambitions. Founded in 1985, the firm advises funds across two core asset classes, private equity and credit, with total committed capital of approximately €89bn. The Permira private equity funds make both buyout and growth equity investments in four key sectors: Technology, Consumer, Healthcare and Services. The Permira credit funds support businesses with flexible financing solutions across Direct Lending, Strategic Opportunities and CLO Management. Established in 2007, the firm advises investment funds and products which have provided approximately €25 billion of debt capital to over 300 businesses.
The accountant supports the Financial Controller within Group Accounting function in the day-to-day accounting and financial reporting activities of Permira's Alternative Investment Fund Manager (“AIFM”) located in Luxembourg, as well as its international operations, including its branches and representative office located oversees. The role provides broad exposure to the financial operations of the AIFM across multiple jurisdictions, covering entity accounting, month-end close, reconciliations, statutory and management reporting, audit, tax and regulatory requirements. Working closely with the Controller and other members of Firm Finance network, the role is expected to develop a strong understanding of the AIFM's financial operations and control environment, progressively taking ownership of key accounting and reporting processes, and assisting in the strengthening of the control environment of the entities.
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