Job scope
1. Contract Management
Draft, review, and negotiate contracts to ensure compliance with legal and business requirements.
Maintain a structured contract repository for easy tracking and retrieval.
Monitor contract performance, renewal dates, and key obligations.
Ensure alignment between contractual terms and financial models.
2. Financial Model Development
Build and maintain financial models to evaluate investment performance.
Conduct scenario analysis, sensitivity testing, and risk assessment.
Ensure accuracy and consistency in key financial assumptions and projections.
Align financial models with business strategies and contractual agreements.
3. Post-Investment Management
Track and analyze investment performance against key KPIs.
Manage risk assessment and compliance monitoring.
Coordinate with stakeholders to ensure smooth execution of investment strategies.
Identify potential value-creation opportunities for portfolio companies.
4. Financial Reporting (Weekly & Monthly)
Prepare and review weekly/monthly financial reports, including P&L statements, balance sheets, and cash flow statements.
Analyze variances and provide insights into financial trends.
Ensure timely reporting and compliance with internal and external requirements.
Collaborate with finance teams to streamline reporting processes.
5. Contract Preparation
Draft investment agreements, shareholder agreements, NDAs, and other legal documents.
Ensure accuracy and alignment with regulatory and corporate policies.
Coordinate with legal and finance teams to finalize contract terms.
Maintain proper documentation and version control for all agreements.
Requirements:
1. Willing and able to travel
2. Bachelor’s degree or Professional Certification in Finance, Accounting or any related discipline.
3. 3-6 years of relevant experience.