Associate
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Summary Of Responsibilities
- Conduct detailed quantitative and qualitative analysis in order to underwrite potential distressed debt investments for both C&I and commercial real estate opportunities
- Develop flexible financial models and perform ad hoc financial forecasting, valuations and other various financial analyses
- Develop and coordinate presentations, reports and investment memorandums to facilitate making significant business decisions
- Support senior professionals working on financial and business diligence (e.g. corporate valuations, industry analysis, competitive position, etc.) during the transaction process
- Analyze financial statements, financing terms, covenants, legal/bankruptcy documents, capital/corporate structures, restructuring plans, and industry trends
- A bachelor's degree preferably in finance, accounting, real estate, economics or business administration
- 1-4 years in investment banking, leveraged finance, credit analysis, private equity, hedge funds or other similar roles
- Advanced Excel skills, strong modeling and financial valuation skills
- Strong math, accounting and quantitative skills
- Ability to manage multiple projects under time pressure
- Strong written and verbal communication skills
- Proficient in Microsoft Word and PowerPoint
- Able to work in the United States without sponsorship
- Immediate start date
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