An outstanding opportunity exists within an appealing and growth industry. My client is a leader in the space and are backed by a large global asset manager.
Working within this high calibre corporate finance team and reporting to the Head of Corporate Finance, your role will take part in a mix of M&A support, corporate development, internal valuation and strategy. Due to changing needs within the business and synergies across other teams you will also support the future needs within FP&A, particularly that of cash flow and liquidity forecasting
- Manage the internal valuation model & internal forecasting
- Support pricing acquisition bid prices, assist with due diligence, analyse corporate/strategic initiatives,
- Assist with half-yearly and yearly investor presentations
- Asset Management
- Strategic cash flow and liquidity forecasting
- Assist in delivery of annual operating budget
- Re-forecasts (IFRS) and actuals
The successful candidate for this role will have relevant degree qualifications (i.e., economics, finance or actuarial) as well as possess a strong academic track record of achievement and have gained high level excel modelling exposure.
Ideally, you will have 4-5 years+ experience within an investment bank, PE firm, big 4 corporate finance (Modelling, valuations, M&A, TS etc.) or are coming out of comparable corporate finance role for a commercial business.
Finally, it will be beneficial (not essential) to have exposure to FP&A, otherwise you will at least possess the interest in picking up tasks in this area.
Will be the opportunity to see your ongoing work support strategic commercial decisions. You will have access to the CEO and CFO who have elite pedigrees within the space and have a strong focus on career development of their staff. Excellent career opportunities exist.
To submit your CV please hit "Apply" below. Or, for a confidential discussion contact Phillip Pham on 02 9775 5922.