Responsibilities include
- Conducting, overseeing, and presenting detailed analysis models to support potential acquisitions, including detailed risk and sensitivity analysis.
- Using, adapting, and developing forecasting models to support investment decisions.
- Scoping, reviewing, and understanding of due diligence reports on potential investment opportunities.
- Working with internal and external stakeholders to produce and present investment memorandums for consideration by the investment committee.
- Support the deal execution process, including negotiating terms, preparing documentation, and coordinating with teams across the business to ensure smooth transaction closures.
- Provide valuable insights into market trends, economic indicators, and industry dynamics, assessing how they may affect potential deals.
- Collaborate with other team members to share insights, exchange information, and collaborate on investment decisions.
- Understand local Credit and Real Estate market risk associated with potential investments and contribute to developing strategies to mitigate risks.
Required Experience
- University educated (or equivalent) demonstrating outstanding academic record.
- Appropriate hands-on experience gained in investment banking, private equity fund or other relevant organisation.
- Ability to combine data-driven insights with qualitative analysis and sound judgment.
- European language skills advantageous, as is an awareness and understanding of working practices across multiple jurisdictions/geographies.
- High level of proficiency in Excel and PowerPoint with strong analytical skills
- Excellent presentation and communication skills.
- Self-motivated, independent, problem solver with good interpersonal skills.