Responsibilities:
- Own and continuously improve the company's integrated three-statement financial model, driving strategic planning and scenario analysis.
- Support strategic transactions, including acquisitions and partnerships, with rigorous valuation and financial analysis.
- Prepare decision-ready materials for executive leadership, board, and investors to evaluate growth, profitability, and capital structure.
Requirements:
- 4–7+ years of experience in investment banking, private equity, strategic finance, or corporate development.
- Exceptional financial modeling skills, including integrated three-statement models, valuation, and multi-scenario forecasting.
- Strong communication skills and ability to explain complex financial topics to non-finance stakeholders.
Success in the First Year:
- The company has a trusted, flexible financial model that leadership can use to evaluate decisions quickly.
- Strategic investments and financing alternatives are supported by rigorous, decision-ready analysis.
- You are viewed by the executive team as a trusted strategic partner.