Associate

The role will sit in one of the Bank's central teams, Portfolio Investment Management. The successful candidate will work in this team supporting the evaluation return analysis and performing financial modeling. The team is responsible for managing and monitoring the expanding portfolio of investments including senior debt (project or corporate), mezzanine, preferred equity, direct equity and equity through funds.

Responsibilities:
On-going investment management and monitoring of equity / debt / and funds' project investments.
Have primary responsibility for the financial modelling and analysis of investments and transactions.
Execute detailed financial and valuation analysis of portfolio investments/companies and transactions.
produce analytics that support the regular management reporting.
Play a key role in forecasting and performance monitoring.
Monitor relevant market and sectors (performance benchmarking, market performance and trends, impacts on portfolio and sensitivities).

Requirements:
A relevant University degree (minimum 2.1) and c.2-4 years relevant work experience gained in corporate finance advisory, investment banking, investment management and/or project finance environment.
Strong EXCEL-based financial modelling skills (DCF, DDM) and familiarity with Project Finance models.
Strong economic DCF / DDM valuation, returns calculation and sensitivities analysis experience.
Thorough understanding of financial accounting, corporate finance and business reporting.
Good analytical skills with strong attention to detail.
Demonstrate sound business judgment and an analytical, pragmatic and creative approach to problem solving.
A self-motivated, committed work ethic and a drive for perfection as well as keen attention to detail.

October 7, 2013 • Tags:  • Posted in: Financial

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