Job Information |
Our global Alternative Investment Management client ($9B+ AUM) is seeking to recruit a Vice President Corporate Finance and oversee the day-to-day corporate finance function, streamline and enhance the firm’s FP&A processes and serve as a key member of the financial strategy leadership team. The incumbent will be an investment banker seeking a pivot to the buy side (FIG coverage preferred).
Responsibilities:
- Working closely with the CFO and Management Company Controller, oversee the day-to-day corporate finance function, streamline and enhance the firm’s FP&A processes and serve as a key member of the financial strategy leadership team
- Perform monthly and quarterly financial statement analysis, profit center analysis and drive the development of KPIs and predictive metrics (expenses, margin, staffing, revenue, etc.)
- Maintain, enhance and streamline the firm’s financial projection model to allow for deep dive scenario analysis, fund performance analysis, the development of user-friendly dashboards and greater transparency
- Develop a 3-5 years financial projection model
- Oversee the firm’s budgeting process
- Collaborate with department heads and senior management on budget planning, forecasting, tracking and variance analysis
- Perform cash flow analysis, analyze current and projected cash balances and refine the current cash projection model to make is more user-friendly and transparent
- Connect the refined cash projection model to the financial projection model to provide more seamless updates and to determine cash available for investing in the firm or its funds
- Manage investment team and non-investment team forecasting, planning and modeling
- Work closely with HR on staffing projections and hiring initiatives
Requirements:
- Bachelor’s Degree
- 4-6 years of Investment Banking coverage and execution experience required (FIG experience preferred)
- Advanced financial modeling experience and advanced technical modeling skills (Excel, VBA, etc.)
- Fundamental corporate finance knowledge with strong budgeting and forecasting skills, the ability to create budgets, understand cost drivers and how to reduce costs
- Strategic and commercial thinker
- Strong financial presentation skills – ability to create, synthesize and present complex financial analysis to key stakeholders
- Demonstrated ability to collaborate effectively with key stakeholders
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