City of London, London
£350 - £400 per day
6 months ago
To provide analytical assessment of potential and current mergers and acquisitions, providing reporting on the financial viability.
To support wider Finance team in the forecasting and budgetary planning
Responsibilities and Accountabilities
·Responsible for building detailed excel-based models for prospective acquisition targets to determine whether they create shareholder value.
·Produce various monthly management materials for internal and external use, such as monthly financial reporting analysis and quarterly investor presentations.
·Responsible for working closely with the Investor Relations Department on preparation of materials for Quarterly market reporting
·Assistance with monthly forecast consolidation process (eg, analysis of specific accounts such as forex, cash by currency, capital expenditure)
·Responsible for in preparation/ consolidation of annual budgets
·Assisting in P&L and Balance Sheet analysis
Qualification, Knowledge & Experience required:
·Qualified to CA, CFA or CIMA levels
·3 - 5 years post qualification experience, preferable with significant exposure to M&A
·Ability to work well independently and as a team player in a very fast passed and dynamic environment
·Strong Finance and Accounting experience in developing effective strategies, procedures and processes to suit a growing organization
·Excellent Communications (Reading, Writing, Comprehension and Presentation) and IT skills
·Excellent interpersonal and coaching skills, Customer focus
·Should have an energetic and enthusiastic approach to work
·Up to date knowledge on best practices in the Industry as well as an awareness of what is going on in the Industry
·Track record of achieving results and resolving complex issues.
Basic knowledge of international capital markets is a prerequisite