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Investment Manager

9-12 Years
  • Posted 8 hours ago
  • Be among the first 10 applicants

Job Description

Manager – Corporate Finance - Investor Relations- Financial Modelling -9+ Years- Noida (Hybrid)

Summary- Are you passionate about financial analysis, investor engagement, and strategic advisory We are seeking an experienced Investment Research professional to lead investor-facing engagements, develop robust financial models, and manage high-impact stakeholder relationships. If you have expertise in corporate finance, capital markets, financial modelling, and team leadership, this opportunity offers exposure to global investors across North America, Europe, APAC, and the Middle East.

Location: Noida (Hybrid)

Your Future Employer- A globally recognized research and advisory organization delivering high-quality financial research, investment advisory, and analytical solutions to leading institutional investors and multinational corporations. The organization partners with clients across multiple geographies to solve complex financial and strategic business challenges through deep domain expertise and data-driven insights.

Responsibilities

  1. Lead investor-facing engagements while managing relationships with debt investors, equity investors, lenders, internal stakeholders, and external advisors.
  2. Build and review advanced financial models, projections, scenario analysis, sensitivity analysis, and covenant tracking models.
  3. Prepare investor-ready presentations, board decks, financial reports, and management updates with exceptional accuracy.
  4. Analyse financial statements, revenue drivers, profitability metrics, operating KPIs, and business performance to provide strategic insights.
  5. Develop forecasting models by evaluating pricing, volume, utilization, customer mix, margins, operating leverage, and financing assumptions.
  6. Support investor reporting, covenant compliance, due diligence, and responses to investor information requests.
  7. Ensure rigorous quality assurance through model validation, reconciliation, version control, and error checks.
  8. Coordinate with Finance, Treasury, Business Teams, Auditors, Advisors, and Lenders to ensure timely project execution.
  9. Mentor and lead a high-performing team while driving process improvements, capability development, and business growth initiatives.

Requirements

  1. MBA Finance, CA, Commerce Graduate or equivalent qualification. CFA Level II/III preferred.
  2. 9–12 years of experience in Investment Research, Investor Relations, Corporate Finance, Transaction Advisory, Structured Finance, Credit Risk, or Capital Markets.
  3. Strong expertise in Financial Modelling, Forecasting, Scenario Analysis, Sensitivity Analysis, Financial Statement Analysis, Covenant Monitoring, and Valuation.
  4. Experience interacting with debt/equity investors, lenders, investment committees, or senior leadership.
  5. Advanced proficiency in MS Excel and PowerPoint for financial modelling and investor presentations.
  6. Working knowledge of Bloomberg, Capital IQ, Refinitiv Eikon or similar financial databases.
  7. Strong understanding of accounting principles, business models, financial drivers, and operating KPIs.
  8. Prior experience leading teams, managing client relationships, and delivering multiple projects simultaneously.
  9. Excellent communication, stakeholder management, and presentation skills.

What's in it for you

  • Opportunity to work directly with global institutional investors.
  • Exposure to complex investment transactions, capital markets, and financial advisory assignments.
  • Leadership role with high visibility and significant client interaction.
  • Collaborative work culture with continuous learning and career progression.

Reach Us- If you believe you are the right fit, share your updated resume at [Confidential Information]

Disclaimer- Crescendo Global specializes in Senior to C-Level niche recruitment. We are passionate about matching exceptional talent with leading organizations across India.

Note: Due to the high volume of applications, only shortlisted candidates will be contacted.

Profile Keywords- Investment Research | Investor Relations | Corporate Finance | Financial Modelling | Financial Analysis | Capital Markets | Debt Investors | Equity Investors | Financial Forecasting | Scenario Analysis | Sensitivity Analysis | Covenant Monitoring | Investor Reporting | Financial Statements | Valuation | Transaction Advisory | Structured Finance | Credit Risk | Bloomberg | Capital IQ | Refinitiv Eikon | Advanced Excel | PowerPoint | Team Leadership | Stakeholder Management

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About Company

Job ID: 151690997

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