What we're looking for
- 1-2+ years of related work experience in corporate development, financial services, M&A investment banking, or private equity is preferred.
- Strong analytical skills, including knowledge of valuation methodologies.
- Strong financial modeling & attention to detail.
- Full understanding of financial statements.
- Experience preparing detailed financial models and company business valuations.
- In-depth experience forecasting Balance Sheets, Cash Flow Statements, and Profit and Loss Statements, including the linking of all 3 statements in one dynamic model.
- Strong verbal and written communication skills.
- Effectively manages and prioritizes multiple projects.
- Flexible and adaptable to changing priorities and new challenges.
- Ability to meet deadlines and work well under pressure.
- High level of professionalism, integrity, discretion, and good judgment.
- Graduate with a Bachelor's degree, preferably in business, mathematics, finance, or economics.
- Strong Excel and PowerPoint skills.
What you'll be doing
- Evaluate new investment opportunities for their risks and possible returns driven by detailed financial analysis.
- Actively participate in and drive the due diligence process when evaluating new investments.
- Prepare investment committee materials for the presentation of various investment opportunities.
- Perform business, financial, and operational analysis across portfolio companies to help influence senior management decision-making.
- Assist with ad-hoc special projects and support the development of long-term strategic initiatives across portfolio companies alongside executive leadership.
Benefits
- Base Salary + Bonus + Eventual participation in deals.
- Work from anywhere in the world.
- Loose vacation policy.
- Flexible work hours.