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We are looking for a highly analytical and commercially minded Corporate Finance Specialist to join our growing finance team. This is an exciting opportunity for an ambitious finance professional who wants to play a key role in fundraising, capital markets activities, financial modelling, and strategic decision-making within a fast-paced and growth-oriented business. Working closely with the Corporate Finance Lead, Head of Corporate Finance, CFO, and senior leadership team, you will provide critical financial insights, support funding initiatives, and contribute to the company's long-term growth strategy.
Job Responsibility
Maintaining and enhancing integrated cash flow and financial models used for fundraising, forecasting, valuation, and business planning
Supporting debt and equity fundraising processes through preparation of financial materials, presentations, and analysis
Assisting with due diligence processes, coordinating information requests, and managing documentation requirements
Supporting financing transactions and capital markets activities, ensuring timely execution of key workstreams
Preparing reports, presentations, and analytical materials for Executive Leadership Team and Board meetings
Supporting lender and investor reporting requirements and governance processes
Monitoring financing obligations, covenant compliance, and financing-related risks
Analysing asset performance, forecast assumptions, and transaction trigger metrics
Partnering with Finance, Operations, Commercial, and other business functions to ensure consistency and quality of financial data and forecasts
Building strong relationships with lenders, investors, advisors, and key stakeholders
Contributing to the continuous improvement of financial models, reporting processes, and analytical tools
Requirements
Bachelor's degree in Finance, Accounting, Economics, Mathematics, Engineering, Business, or a related field
2–5 years of experience in Corporate Finance, Investment Banking, Transaction Advisory, Infrastructure Finance, Project Finance, Treasury, FP&A, or a similar analytical role
Strong financial modelling, forecasting, valuation, and financial analysis experience
Exposure to debt financing, capital markets, fundraising, lender reporting, or transaction execution activities is advantageous
Experience supporting senior stakeholders with financial insights and recommendations
Progress toward, or completion of, a professional qualification such as CA, CPA, ACA, ACCA, CFA, or equivalent is considered beneficial
Advanced Microsoft Excel and financial modelling skills
Strong analytical, quantitative, and problem-solving abilities
Knowledge of corporate finance principles, valuation methodologies, and financial statement analysis
The ability to translate complex financial information into clear recommendations
Excellent communication and presentation skills
Experience preparing management, investor, or Board-level materials
Strong stakeholder management and relationship-building capabilities
Proficiency in Microsoft PowerPoint, Word, and financial reporting systems
Exceptional attention to detail and commitment to data accuracy