Analyst/AVP – Corporate Finance/ Risk, Buy Side recruitment
The role itself helps support and validate buy-side MA transactions within the risk framework via a constant review and assessment of financial models used for company valuations through the use of sophisticated simulation tools. This is the team that helps ensure that assumptions are appropriately challenged to ensure returns are maximised without compromising the risk posed to the fund.
You will need to question and review the financial models, understand and validate key value drivers of companies, learn to identify opportunities for risk mitigation techniques and working closely with the origination team to assess attractiveness of the propsed target companies.
Our client has a global mandate hence the role will allow exposure into Asian (primary), US and Europe investments.
Requirements
-Junior Investment bankers between 2-4years from another top notch brand with strong financial modelling skillsets and a sharp business accumen will be preferred
-Must be familiar with valuation techniques, especially DCF modeling
-Able to build and review large, complex DCF models for MA investments, preferably on the buy-side
-Experience in conducting Financial Due Diligences/Valuations on Asian target companies from a Big 4 will also be advantageous
-Candidates should be able to articulate complex issues in simple terms
-Mandarin will be highly preferred