About Luxtrust
We are a multicultural and forward-thinking qualified Trust Services Provider based in Capellen, Luxembourg, with over 110 professionals and actively expanding our business internationally. We provide state-of-the-art on on-boarding, digital identities, strong authentication and security services, and qualified electronic signatures, all bundled into integrated digital documents & identity management solutions.
As a Trusted Partner, we prioritize building long-lasting relationships with our international clients and stakeholders, based on trust and integrity. We strive to be a Committed Partner, dedicating ourselves to delivering exceptional performance and showing steadfast commitment to make a positive impact. As a Visionary Scout, we are constantly seeking out new opportunities for growth and innovation, always staying ahead of the curve in our industry.
Join us in our mission to drive innovation and co-create a better future!
We are currently looking for a motivated and driven Financial Controller under a permanent contract.
As part of the Finance team, you will be responsible for financial performance monitoring, statutory accounts production, and tax compliance. You will play a key role in finalizing annual financial statements, improving profitability, and supporting valuation analyses.
Missions of the role
1. Financial Reporting & Accounts
Prepare and analyse monthly and quarterly financial reports
Lead the review of accounts and finalization of annual financial statements with auditors/accounting firms
Participate in monthly closing activities: provisions, accruals, variance analysis
2. Tax, VAT & Corporate Tax Compliance
Ensure compliance with tax obligations, including VAT, corporate taxes, and local taxes
Prepare and/or review corporate tax filings and supporting documentation
Monitor corporate tax positions, deferred tax assets/liabilities, and related provisions
Contribute to tax optimization initiatives across the business
Stay up to date with regulatory developments and assess their impact on the company
3. Profitability & Performance
Support margin and cost analysis by business line/product
Identify drivers of profitability improvement and cost optimization
Support implementation of KPIs and performance monitoring tools
4. Financial Analysis & Valuation
Conduct advanced financial analyses (cash-flow, scenario modelling, forecasts)
Contribute to valuation or business plan workstreams
Support strategic projects (fundraising, M&A, growth initiatives)
Profile
Master’s degree in Finance, Accounting, Business or equivalent
3 years of experience in financial controlling, audit, accounting, or similar role
Solid understanding of taxation, especially VAT and corporate taxes
Strong Excel skills; knowledge of BI tools appreciated
Analytical mindset, autonomy, attention to detail
Ability to work in a fast-paced environment with multiple priorities
Our company is committed to fair recruitment, based on the skills of each candidate, regardless of gender nationality, sexual orientation, religion, or any other discriminatory criterion.
Please note that in order to comply with our regulatory requirements an extract of the criminal record is requested upon entry into service.
