Are you an experienced accounting professional looking to take your career to the next level? An international Asset Manager based in Limassol is seeking a Senior Accountant to join their dynamic and fast-growing team. If you have a passion for numbers, a strong analytical mindset, and thrive in a collaborative environment, this is the perfect opportunity for you!
Responsibilities As a Senior Accountant, you will play a pivotal role in the financial operations of the company. Your key responsibilities will include:
Preparing financial statements and ensuring accuracy.
Collaborating with tax advisers on Income Tax and VAT matters.
Coordinating with auditors across multiple jurisdictions (Cyprus, Luxembourg, Switzerland, etc.).
Managing back-office functions, including daily bank reconciliations and posting of daily trades.
Recalculating coupon income, dividends, interest income, and expenses.
Handling general accounting and bookkeeping duties for Cyprus and other group companies.
Providing financial analysis support for transactions.
Preparing management reports, including quarterly accounts, NAVs, and other financial documents.
Qualifications To excel in this role, you should meet the following criteria:
A minimum of 5 years of relevant experience, ideally gained at a Top 4 Audit & Accounting Firm or a Top-Tier Fiduciary/Corporate Services provider.
Fully qualified ACCA/ACA or equivalent certification.
A degree from a well-respected university.
Strong knowledge of IFRS.
Familiarity with tax compliance (VAT/Income Tax) is an advantage.
Back-office experience is a strong plus but not mandatory.
A solid background in financial reporting.
A genuine interest in accounting, coupled with excellent analytical skills.
Experience with Business Central or similar accounting systems is a plus.
Highly motivated to work within an investment-focused environment.
A strong team player with a collaborative mindset.
Day-to-Day Your typical day will involve:
Preparing and reviewing financial documents to ensure compliance with regulations.
Liaising with internal and external stakeholders, including auditors and tax advisers.
Managing daily financial operations and reconciling accounts.
Supporting the management team with financial analysis and reporting.
Collaborating with colleagues to ensure seamless financial processes across the organization.
Benefits We value our team and offer a range of benefits to support your professional and personal growth:
Competitive discretionary bonus.
Comprehensive health insurance.
Professional training allowance to enhance your skills.
A modern, brand-new office with convenient parking facilities.
Standard working hours: Monday to Friday, 9:00 AM to 6:00 PM.
Salary: Negotiable - call to discuss.
If you’re ready to make an impact and grow your career in a supportive and innovative environment, we’d love to hear from you. Apply today and take the next step in your professional journey!