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This position is with the Corporate Finance team, not the Investment team. Responsibilities include: • Assist with corporate earnings and cash flow forecasts; work with finance, accounting and tax teams to improve corporate forecasting model • Support outside financing efforts; work with finance team to prepare for and participate in creditor and ratings agency meetings • Assist in preparation of Investor Relations filings and other internal/external communication documents, including preparation of financial analysis for the quarterly report and earnings call, to ensure accurate information is delivered in a timely fashion • Aid in corporate budgeting/performance improvement initiative • Develop model for tracking and analyzing foreign exchange exposures • Develop and update comparable company analysis, based on both quantitative and qualitative data points • Support efforts to enhance corporate treasury systems and processes Qualifications needed: • Minimum 3 years of corporate finance, investment or banking experience • Experience in building and working with complex financial models • Outstanding analytical skills • Excellent communication and presentation skills and a proven ability to establish positive relationships with senior management and across multiple business disciplines • Proven ability to grasp new concepts quickly and work with limited direct guidance • Exceptional Microsoft Excel skills This is a fast paced environment. They are looking to hire as soon as possible. Local candidates are preferred as the client will not pay for relocation and you will need to be available for in person interviews. Qualified candidates will be contacted directly.
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