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Missões
Access Capital Partners (“Access”) is a leading independent European fund manager investing in Private Equity and Infrastructure assets in Europe. Access manages EUR 15.8 billion on behalf of its international institutional clients and operates with a team of 100+ professionals based in six offices: Paris, London, Brussels, Helsinki, Munich, and Luxembourg.
Our development leads us to strengthen our Cash Management team within the Middle Office practice, in charge of the administrative, regulatory and financial follow-up of our investment vehicles.
The Middle Office team currently includes 26 persons, located in our Paris, Brussels and Helsinki offices.
Your Role:
Reporting to the Partner – Middle Office, based in Paris, you will participate in the daily monitoring of the operations in the Access Capital Partners Funds, specifically in the following fields:
<ul><li>Monitoring of daily cash flows related to investments and/or service providers (capital calls, distributions and invoices);</li><li>Participation in banking and accounting reconciliation processes;</li><li>Coordination with Banks and Depositaries in France, Luxembourg and elsewhere in Europe;</li><li>Collaboration with others Middle Office team members;</li><li>Assistance in the development of performance analysis and reporting tools related to cash management.</li></ul>Skills:
<ul><li>Strong knowledge of IT tools such as MS Excel and MS Word;</li><li>High level of accuracy, keen attention to details and well-organised;</li><li>Team player;</li><li>High interest in the Private Assets sector.</li></ul>Your Profile:
<ul><li>Apprenticeship – start of the academic year 2026/27 – Master 1 or Master 2 in Finance from University or Business School;</li><li>Excellent written and verbal knowledge of English is absolutely required (75% of communication takes place in English).</li></ul>Métier
Codes ROME : C1203
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75001 Paris
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