Roles and Responsibilities
- Develop, maintain, and audit sophisticated financial models (DCF, LBO, merger models, consolidation, cash flow forecasting, scenario & sensitivity analyses).
- Translate business strategies into robust financial representations, including assumptions, drivers, and inputs.
- Build dynamic dashboards and reporting tools to track KPIs, variances, and performance against targets.
- Perform valuation analyses (NPV, IRR, EVA, ROIC) and investment appraisals with clear documentation.
- Conduct scenario planning, stress testing, and sensitivity analyses to support decision-making under uncertainty.
- Collaborate with corporate finance, FP&A, strategy, accounting, and business leads to validate inputs and interpretations
Profile Preference
- Advanced proficiency in Microsoft Excel (to the highest standards), including complex formulas, financial functions, data tables, forecasting, and model auditing tools.
- Strong financial theory knowledge: corporate finance, valuation, capital budgeting, budgeting processes, accounting basics (P&L, balance sheet, cash flow).
- Experience building and reviewing multi-scenario models (DCF, LBO, integrated financial statements).
- Exposure in the Infrastructure sector will be a plus
- Ability to translate ambiguous business scenarios into clear, auditable models.
- Strong attention to detail, with a methodical, quality-driven approach to model development.
- Excellent written and verbal communication; ability to present complex results succinctly.
- MBA finance/ CFA/CA