Job description (main duties & responsibilities):
Search and evaluation of various investment opportunities, advising these to the company and/or its clients.
Extensive financial analysis and modelling, including but not limited to DCF, LBO, multiples.
Evaluation and analysis of the company’s and/or clients’ investment portfolios of various assets across different markets, sectors and industries.
Reviewing and examining deal specific documentation relating to potential investments, such as Private Placement Memorandums, Limited Partnership Agreements, Information Memorandums, etc.
Preparation of analytical notes, management reports and periodic investment updates for the company and/or its clients on both portfolio- and assets- levels.
Full-fledged financial, commercial and operational due diligence work on the perspective strategic investments.
Sourcing and tracking direct financial investment opportunities for the company and/or its clients: direct participation through debt & equity and indirect investments, including fund investments and other collective investment schemes.
Post-investment control project management, developing and integrating 100-day plan, KPIs monitoring, etc.
Conducting research and analysis of the existing markets / industries where the company and/or its clients operate and of new markets into which the company and/or its clients consider entering.
Researching and analysing the business of competitors and partners in various sectors across the globe.
Ongoing equity research of listed companies and financial products.
Syndicating external capital, both debt & equity for existing projects and new ventures.
Ongoing business development, searching for new clients and facilitating originating capabilities.
Skills / Experience required:
Relevant work experience with Private Equity, Hedge Funds and / or Real Estate Funds at Senior Analyst / Associate level or above.
Experience in advertising investment opportunities to clients and guiding them through the acquisition process. A wide network of contacts with the potential clients would be an advantage.
Deep understanding of valuation techniques of public and private companies.
Superb modelling skills including advanced techniques typical for leveraged buyout transactions.
Sound analytical skills and ability to work with large amount of qualitative and quantitative data sets.
Proven experience with conducting the full cycle of investment assessment of collective investment vehicles and direct companies and/or assets on a stand-alone basis.
Outstanding attention to details and well-developed research techniques.
Personal track record in marketing and raising funds for co-investment deals, including primary and secondary transactions.
Well-developed soft skills. A long-standing business relationships with lenders and equity investors would be a plus but not essential.
Investment experience across emerging markets incl. Asia and Russia. A good understanding of the key risks associated, investment landscape and regulation specifics would be an advantage.
A solid academic background ideally from the U.K. well-regarded University.
Written Russian language would be an advantage but not essential.
London WC2R 1AT
GBP 60’000 – 70’000 gross annual salary
Closing date of the advert:
the closing date of this job posting advert is 13th of June 2016
Contact: Evgeny Dobrov