- Conduct market research and building discounted cash flow model
- Preparing in-depth valuations and other financial analysis
- Calculate financial metrics, assisting with the annual business plan and budgeting process
- Construct financial statements in Excel, and preparing M&A reports
- Underwrite models to reflect asset performance and changes in the market environment
- Critical analysis of financials and business data
- Communicate financial patterns, insights and discrepancies
- Undergraduates, graduates as well as working professionals who want to change industries.
- Cross cultural work experience a plus
- Working knowledge of Excel, Power Point and Word
- Excellent analytical skills
- Strong presentation skills; oral and written/.
error: Content is protected !!