Manager - Corporate & Projects Finance
- Posted 2 months ago
- Be among the first 10 applicants
Job Description
We urge you to carefully read the job description below before applying for this role. This will help us to better evaluate your candidature
Requirements
Key Responsibilities
Financial Strategy & Modelling
Education
· MBA / Master's in Finance, Banking, Investment Banking, or equivalent from a reputable institution.
· CA / CFA candidates with strong modelling experience are also encouraged.
Experience
Ideal: 5 to 7 years in one or more of the following:
· Investment Banking
· Corporate Finance
· Structured Finance
· Private Credit / Funds
· Big 4 Transaction Advisory
· Infrastructure / Project Finance teams
Candidates who have operated on the lender/advisory side will be especially valuable.
Requirements
Key Responsibilities
Financial Strategy & Modelling
- Build advanced financial models including:
- Integrated 3-statement models
- Project finance models
- Trade finance structures
- Acquisition and investment models
- Scenario and sensitivity analyses
- Develop cash flow projections, borrowing base models, and covenant forecasts.
- Evaluate funding structures across debt, structured credit, and hybrid instruments.
- Prepare high-quality:
- Information Memorandums
- Bank decks
- Credit papers
- Investor presentations
- Business plans
- Support leadership in fundraising processes with banks, NBFCs, private credit funds, and DFIs.
- Respond to lender due diligence requests with precision and speed.
- Assist in evaluating new geographies, supply chain investments, and processing assets.
- Support M&A initiatives including financial analysis, valuation, and transaction materials.
- Conduct industry and competitor research to support strategic decision-making.
- Convert leadership vision into structured financial narratives suitable for institutional audiences.
- Draft investment notes and board-level materials.
- Work closely with senior management on high-impact strategic initiatives.
- Partner with trading, operations, and risk teams to gather assumptions and validate projections.
- Coordinate with external advisors including investment banks, consultants, and legal teams.
Education
· MBA / Master's in Finance, Banking, Investment Banking, or equivalent from a reputable institution.
· CA / CFA candidates with strong modelling experience are also encouraged.
Experience
Ideal: 5 to 7 years in one or more of the following:
· Investment Banking
· Corporate Finance
· Structured Finance
· Private Credit / Funds
· Big 4 Transaction Advisory
· Infrastructure / Project Finance teams
Candidates who have operated on the lender/advisory side will be especially valuable.
More Info
Key Skills
Integrated 3-statement models
Covenant forecasts
Acquisition and investment models
Advanced financial models
Project finance models
Financial Strategy Modelling
Board-level materials
Scenario and sensitivity analyses
Information Memorandums
Investment notes
Borrowing base models
Credit papers
Bank decks
Trade finance structures
