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Luc BORDEREAU

LONDON

En résumé

Mes compétences :
Audit
financial statements
Responsible for all financial aspects
International Financial Reporting
Cash Management
client management
budgets
Responsible for the AEW Europe Transaction
Responsible for planning
Responsible for auditing client
Portfolio Administration
Office Buildings
Navision
Money Markets
Microsoft Word
Microsoft Excel
Lotus Notes/Domino
Logistics
Investment Analysis
Financial Analysis
Financial Accounting
Equities
Cost Analysis
Balance Sheet
Analysis of clients accounts and financial stateme

Entreprises

  • AEW EUROPE - Managing Director, Head of Fund

    2015 - maintenant AEW EUROPE (NATIXIS Group), Real Estate Fund - Paris, France
    Managing Director, Head of Fund, Separate Account and Club Deal Operations and Financing - Paris & Luxembourg
    Main duties:
    * Responsible for the AEW Europe Transaction in terms of Structuring & Financing for Paris & Lux Funds & Club-deals under the Head of Fund Manager responsibility, ;
    * Implemented the Structuring & Financing at acquisition of the CELSIUS Portfolio in July 2015 (1,3 billion EUR of GAV, 0.6 billion EUR of debt), ;
  • AEW Europe - Executive Director, Head of Fund

    2011 - 2014 Separate Account and Club Deal Operations and Financing - Paris & Luxembourg
    Main duties:
    * Responsible for the management of a Fund Controllers team (20 people) split between Paris & Luxemburg, ;
    * Manage with that team all the financial aspects of Funds & Clubs Deal for 12 billion EUR of GAV and 3 billion EUR of debt, ;
    * Define their objectives and appraise them, ;
    * Implemented the Merger of the three Logistis Fund managed by AEW Europe in December 2011 (1 billion EUR of GAV, 0.3 billion EUR of debt refinanced), ;
  • AEW Europe - Director- Fund Operations

    2009 - 2010 Main duties:
    Responsible for:
    * The management of Fund Controllers team (3 persons) ;
  • EUROFFICE Fund - Financial Fund Manager

    2006 - 2009 * All financial aspects of one Fund (EUROFFICE Fund)

    Financial Fund Manager of EUROFFICE Fund (office buildings)
    Main results:
    * EUR 350 Million of equity raised in 3 closings
    * EUR 250 Million credit revolving put in place
    * EUR 170 Million of banking debt refinanced ;
    * EUR 350 Million invested in 6 buildings in France, Spain, Belgium, and Germany

    Main duties:
    Responsible for all financial aspects of the Fund:
    * Analysis of investments opportunities together with the Investment Department
    * Optimization of tax and legal structures of acquisitions in cooperation with lawyers
    * Evaluation of the impacts of strategically scenarios on post promote and post tax IRR
    * Collaboration with tax experts and lawyers to launch EUROFFICE investment fund ;
  • LOGISTIS II Fund - Financial Fund Manager

    2004 - 2005 Main results:
    * EUR 300 Million invested in Europe and managed - 12 platforms ;
    * EUR 500 Million consolidated balance sheet (IFRS) ;
    * Supervised and trained an analyst and my successor (6 months)

    Main duties:
    Responsible for all financial aspects of the Fund:
    * Quarterly reports of the fund IFRS consolidated financial statements
    * Analyzed, negotiated, and managed the financing of the fund
    * Coordinated activities of accountants and auditors ;
  • ERNST & YOUNG AUDIT - Senior Auditor

    1999 - 2004 Responsible for planning and executing several audit engagements in the industry field (mainly listed companies in Paris specializing in Oil Refining and Marketing activities, Total Fina Elf):
    * Designed and implemented audit approach ;
    * Supervised and reviewed audit staff ;
    * Reported directly to managers and partners, and consulted with client management

    Auditor
    Responsible for auditing client financial statements and operations:
    * Documentation of financial accounting systems ;
    * Analysis of clients accounts and financial statement reporting ;
  • LAFARGE - Financial Controller

    Paris 1998 - 1999 LAFARGE, Administrative and Financial Department - Stuttgart, Germany
    Financial Controller of the subsidiary LOBA Bautenshutz (turnover: EUR 30 Million; 130 persons)
    * Developed an IT tool to analyze the sales ;
    * Elaborated income statements presented by sales regions ;
    * Prepared cost analysis budgets ;
    * Used Hyperion software to edit financial reports : annual closing, budget, and quarterly updates ;
  • VALEO - Treasury Operations Back Office - Trainee

    Paris 1997 - 1997 * Cash Management of 4 SPVs ;
    * Prepared monthly and semi-annual cash reports with Micro-Control
    * Organized trainings for cash managers of the group both in English and French ;
  • CREDIT LYONNAIS - Treasury Operations Back Office - Trainee

    1995 - 1996 * Analyzed the transfer of securities options department
    * Wrote options management processes for the Back Office ;

Formations

  • Université Paris I - Pantheon Sorbonne

    Paris 1996 - 1997 DESS

    ) - Postgraduate Diploma in Finance equivalent With Distinction
    DECF:
  • Ecole Supérieure De Commerce De Reims

    Reims 1993 - 1996 Masters Degree

    Majors: - Financial analysis, management, and strategy
    - Financial Markets and portfolio management
  • Lycée Thiers

    Marseille 1991 - 1993 Classe Préparatoire HEC

    2-year University programme in preparation for competitive entrance examinations to French Business Schools


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