Key Responsibilities:
- Conduct comprehensive financial modeling, due diligence, and sensitivity analysis to evaluate the financial feasibility of projects.
- Collaborate with internal teams and external partners to develop optimal financing structures, including debt and equity components.
- Participate in negotiations with lenders, investors, and other stakeholders to secure favorable financing terms.
- Identify and assess project risks, develop mitigation strategies, and monitor risk throughout the project lifecycle.
- Assist in negotiating and structuring project financing agreements.
- Assist in reviewing and analyzing the key terms and conditions of deals and the associated credit risks and mitigants.
- Assist with all aspects of the deal execution process, including reviewing and commenting on documentation, analyzing financial aspects (including creation and/or manipulation of cashflow models, as appropriate), checking the correct incorporation of deal security and other credit mitigants, etc.
- Monitor project expenses and revenues, ensuring adherence to budgets and financial plans.
- Monitor project activities to ensure compliance with the terms and conditions of loan agreements, including financial covenants, reporting requirements, and any project-specific obligations. Identify and address potential compliance issues proactively to mitigate financial risks and maintain positive relationships with lenders.
- Prepare and update comprehensive investment budgets; monitor actual investment performance to ensure alignment with approved budgets.
- Support corporate debt raising initiatives, including preparation of financial materials, analysis of funding options, and participation in negotiations with lenders and financial institutions.
- Preparation of corporate-level forecasts and financial reports for internal and external stakeholders.
- Analyze financial performance and key metrics across the company to support strategic initiatives.
- Other tasks assigned by the direct supervisor.
Requirements:
- Bachelor’s degree in Finance, Economics, or a related field. Professional certification (e.g., CFA, FMVA) is a plus.
- 2-3 years of experience in a finance-related role with a focus on financial analysis, demonstrating proficiency in data interpretation, financial modeling, and generating insights from financial information.
- Strong analytical, communication and negotiation skills, and proficiency in relevant software (e.g., Excel, PowerPoint, VBA is preferable).
- Proficiency in building complex financial models for project valuation, cash flow forecasting, and sensitivity.
- Familiarity with legal, regulatory, and local tax requirements is a plus.
- Strong research acumen with a focus on financial topics.
- Self-starter, detail-oriented, ability to work independently and as part of a team, strong problem-solving skills, and ability to meet tight deadlines.
Interested candidates can send their cv to the e-mail address in the Apply for job button mentioning the name of the position in the subject line.