- Supporting US/European/UK asset managers on new HY/Leveraged Loan/Distressed deals/investment opportunities which would entail building investment memos and detailed models
- Analysis and spreading of financial statements including Income Statements, Balance Sheets, and Cash Flow statements of public and private companies in Excel. Going through the schedules, notes, and MD&A for normalizing the statements for exceptional items to arrive at the true profitability figures like Net Revenue, Free cash flow, and EBITDA.
- Portfolio coverage including model updates and earning summary write-ups, while maintaining regular news on the portfolio. Maintain data, spreadsheets, charts, and graphs.
- Oversee research and analysis on areas including but not limited to the company's primary industry, competitors, macro-factors affecting the industry, company's position within the industry.
- Support the client with any other ad-hoc requests.
Didn’t find the job appropriate? Report this Job