Vice President, Portfolio Valuation - London, United Kingdom,

£150-200k

The employer is a company within the Consultancy sector.

  • Designing financial models for discounted cash flow, market multiple, market transaction and option pricing analyses
  • Performing valuation analysis on a wide range of illiquid investments broadly distributed across industries and geographies while using accepted and relevant approaches and theory
  • Interviewing clients, including face-to-face meetings, to gather data and information pertinent to the engagement
  • Working with management to build and maintain client relationships
  • Identifying and communicating potential engagements to management and writing engagement letters
  • Reporting and presenting analyses and conclusions including written reports
  • Attending relevant industry events to broaden your knowledge and experience within the alternative asset industry
  • Bachelor's or Master's degree in Finance, Accounting or Economics or MBA
  • Minimum 4 years of constructing and reviewing valuation models and other financial models including: DCF, comparable company, commodity contracts / forecasts, and other intangible asset models
  • Strong analytical and problem-solving skills, as well as strong verbal and written communication skills
  • Knowledge of software packages including MS Word, Excel, and PowerPoint