Role Overview: Join our team as a Financial Modeling Analyst, where you will develop, maintain, and analyze advanced financial models to support strategic investment decisions and portfolio performance. Key Responsibilities: Build, refine, and stress-test financial models (DCF, IRR, NPV, scenario/sensitivity analyses). Perform valuation using methodologies such as DCF, comparable analysis, and NAV. Analyze financial statements, cash flows, and investment performance metrics. Support due diligence processes and investment reporting. Prepare presentations and summaries of analytical insights for stakeholders. Qualifications: 2–4 years of experience in financial modeling (investment banking, private equity, asset management, or related field).
Bachelor’s degree in Finance, Economics, Accounting, or a related discipline. CFA/CPA progress or certification is a plus. Advanced proficiency in Excel and financial modeling; experience with Bloomberg/Capital IQ preferred. Strong analytical, communication, and presentation skills.
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