Must have three 3 years of experience with conducting financial statements analysis utilizing income statements, balance sheets, and cash flow statements; private valuation techniques and methodologies, including utilizing market approach and income approach; utilizing Fixed Income and Equities markets and alternative investment management industry external data sources such as Bloomberg, SP Capital IQ, or Factset; utilizing Excel functions and modeling to prepare independent financial models, assess accuracy of existing models, and prepare reporting deliverables; and presenting and providing verbal and written communications to senior management, and internal and external stakeholders.

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