Sandton Operations (Europe) S.à r.l.
Luxembourg, LUXEMBOURG
Chief Financial Officer - Europe (CFO Europe)
Sandton Capital Partners
Role Overview
Sandton Capital Partners is a global private equity fund manager with seven global offices and investments in the USA and Western Europe.
Its European Regional Headquarters located in Luxembourg is seeking a highly experienced and strategic Chief Financial Officer- Europe (CFO Europe) to oversee the firm's European financial operations, governance, and long-term financial strategy. The CFO will be a key member of the executive leadership team, working closely with the Managing Partners, Portfolio Managers, and investors to support growth, optimize performance, and ensure financial integrity across all entities and investment vehicles. This role requires deep expertise in investment management finance, fund structures, and regulatory environments, as well as the ability to operate effectively in a dynamic, entrepreneurial setting.
Key Responsibilities
Strategic Leadership
• Act as a strategic partner to senior leadership on firm-wide financial planning, capital allocation, and long-term growth initiatives.
• Provide financial insight and analysis to support investment decisions, portfolio strategy, and new product development.
• Contribute to business strategy, including geographic expansion, new fund launches, and operational scaling.
Financial Management & Reporting
• Oversee all accounting, financial reporting, and consolidation for the management company and investment vehicles.
• Ensure timely, accurate, and transparent reporting to partners, investors, lenders, and regulators.
• Develop and manage firm and fund-level budgets, forecasts, and financial models.
Fund & Investment Operations
• Supervise fund accounting, NAV calculations, capital calls, distributions, and waterfall calculations.
• Work closely with investment teams on deal structuring, valuations, and exit analysis.
• Ensure best-in-class financial processes across private equity, credit, or alternative investment structures (as applicable).
Risk Management & Compliance
• Establish and maintain robust internal controls, risk management frameworks, and governance standards.
• Ensure compliance with applicable regulatory, tax, and reporting requirements across jurisdictions.
• Liaise with auditors, tax advisors, legal counsel, and regulators.
Capital & Treasury Management
• Manage firm liquidity, cash flow, banking relationships, and financing arrangements.
• Oversee treasury operations, including hedging strategies and currency exposure where relevant.
• Support investor relations through financial transparency and responsiveness.
Qualifications & Experience
• Bachelor's degree in Finance, Accounting, Economics, or a related field; MBA, CPA, ACA, or CFA strongly preferred.
• 15+ years of progressive financial leadership experience, ideally within private equity, asset management, investment banking, or alternative investments.
• Demonstrated expertise in fund structures, financial reporting, and investor-facing communications.
• Strong understanding of regulatory and tax environments relevant to investment firms.
• Proven ability to operate at both strategic and hands-on levels in a fast-paced environment.
• Language requirements: Fluency in English. Good understanding of Spanish and French. Knowledge of German would be considered an asset.
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