A global, well known private equity group headquartered in London is looking for a Portfolio Analyst within its Investor Relations team.
This is an exciting and varied role where you will be fully integrated in all aspects of IR. You will support the IR team with analysing fund performance, modelling and reporting.
- Co-ordinate the quarterly valuation process, through working closely with global deal teams and the fund accounting team to collect and review performance and valuation information, and producing outputs required for internal and external review
- Collate valuation and performance metrics, to produce analytics used internally and externally by the IR team. This will include designing and improving the internal and external reporting processes, interpreting data and analysing for key trends and comparing performance against benchmarks.
- Assist with general fundraising, investor relations and other internal queries
- Develop and maintain models to provide scenario analysis on Funds
The ideal candidate must have previous relevant experience, ideally within the financial services sector. You must have a very strong financial background, ideally an accountancy qualification and have advanced knowledge of Excel including financial modelling. This role would suit an individual who is a team player, ambitious with a hunger to learn and develop their career in Investor Relations. You must thrive in a fast paced environment where attention to detail is paramount, and you must be confident working with senior stakeholders. Prior experience in a global company is advantageous.
You will be given the opportunity to develop your career in Investor Relations within a globally renowned firm who pride themselves on their offering of professional development in a highly supportive environment.
Please do not hesiate to apply with your CV details in order to be contacted for a confidential discussion.