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We are seeking an Accountant to join our growing team with a focus on advanced financial modeling and supporting transaction feasibility work. This position offers the opportunity to make a meaningful impact through problem-solving, financial analysis, and cross-functional collaboration.
Job Responsibility:
Build and maintain detailed feasibility models, including company valuation assumptions, transaction sizing, cash flow and debt service capacity analysis, repurchase obligation forecasts, and tax impact/contribution modeling
Run multiple transaction scenarios and sensitivity analyses to evaluate structure sustainability and risk, identifying financial constraints, red flags, and limiting factors
Prepare and organize clear, analytical outputs, schedules, and summaries for presentations
Prepare cash flow models
Support transition from feasibility analysis to transaction execution and administration
Maintain modeling templates, tools, and best practice standards
Ensure analyses comply with IRS regulations and current industry standards
Requirements:
Proficiency in financial analysis and modeling techniques
Experience with forecasting and conducting ad hoc financial analyses
Strong ability to perform variance analysis and identify trends
Familiarity with data mining methods to extract actionable insights
Attention to detail and expertise in documenting assumptions and methodologies
Capability to collaborate effectively with cross-functional teams
Knowledge of industry standards and regulatory compliance
Excellent communication skills for presenting complex financial data