Arendt Investor Services is the investor services arm of Arendt. We help clients to efficiently run the operational side of their business, bringing peace of mind to investor services. Equipped with the latest technology, our 300 strong team provides clients with an integrated suite of fund and corporate services, delivered to the highest market standards. Our investor services complement Arendts legal expertise and regulatory & consulting services. We are a Professional of the Financial Sector (PFS) supervised by the CSSF and ISO 22301 certified. The experts at AIS and AManco provide clients with: Corporate Services, Fund Administration Services, Governance Services, Operational AML & Compliance Services, Tax Compliance Services, Depositary Services, as well as Third Party AIFM Services (provided by AManco S.A.). Within Arendt, we uphold high standards. Our professionals work with clients on engaging projects, empowered from the start. With a strong local presence in Luxembourg and international reach, we support and train our team members to thrive in a culture of excellence. Specialised teams ensure the right skills are available, allowing for a focus on added value. Our leaders are approachable, providing support and mentoring. We offer a vibrant social life with numerous events, embracing sports and art, our culture encourages openness and discovery beyond the professional realm. With over 50 nationalities represented, Arendt is committed to the well being of its staff, serving the best interests of its clients, protecting the environment, and supporting education. Given the ongoing development of AIS, we are currently recruiting: Junior Officer Fund Accounting PE/RE(m/f) Our Fund Administration team provides high quality services to regulated and unregulated alternative investment vehicles across all asset classes. As a Junior Fund Accountant in the Fund Accounting & Transfer Agency department, your role will encompass all facets of the calculation of net asset values on a variety of complex PERE (Private Equity/Real Estate) funds. This is a challenging and rewarding role which provides exposure to all elements of a PERE funds accounting processes and life cycle. Working with other members of the team, your responsibilities will include: Your role: Accounting of PERE funds which hold a diverse portfolio of investments. This involve being responsible for keeping books and records and for timely and accurate recording of transactions; Calculation of net asset value of funds on a quarterly/semi annual and annual basis which will include the preparation of reporting packs under LUXGAAP (some under IFRS or USGAAP); Book keeping for complex structures and record filing; Reporting to and communicating with investment managers and other relevant parties; Assist in the preparation/review of financial statements for audit purposes; Liaise with external parties such as Investment Managers, auditors, banks or regulatory bodies; Understanding c