valuation-modeling-jobs-in-khammam, Khammam

29 Valuation Modeling Jobs nearby Khammam

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posted 2 months ago

Investment Senior Associate

Franklin Templeton Investments
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Financial modeling
  • Financial statement analysis
  • Due diligence
  • Analytical skills
  • Microsoft Office skills
  • Attention to detail
Job Description
As a Financial services professional at Lexington Partners, you will be part of the Data, Analytics, and Financial Due Diligence Group. This group is responsible for supporting Lexington's global secondaries and co-investment teams in various aspects of underwriting, portfolio monitoring, and other related areas. Your primary focus will be on reviewing and transcribing financial reporting information into a broader database. Your ongoing responsibilities as a Senior Associate will include: - Working closely with Lexington's London investment team to participate in deal-related workflows - Managing data compiling and digital transition using tools such as DealCloud, iLevel, and similar platforms - Assisting in the preparation of financial models, valuations, and comparable company analyses under the guidance of investment team members - Helping gather and organize financial and operational data from private equity reporting and other sources - Supporting general due diligence and research - Ensuring consistently high-quality, detailed work product and on-time production of deliverables To be successful in this role, the ideal qualifications, skills, and experience include: - 2-4 years of experience in financial services, with prior employment at a US-based firm strongly preferred - Excellent English verbal and written communication skills - Superior financial modeling and Microsoft Office skills - Significant prior experience in financial statement analysis and due diligence - Strong analytical skills and attention to detail - Team-oriented, energetic self-starter with the ability to collaborate across the Lexington platform - Strong work ethic and proactive, positive attitude in a fast-paced environment with enthusiasm for expanding knowledge - Ability to manage multiple projects with tight deadlines - High ethical and professional standards This position offers a pathway to a long-term career opportunity within the new group at Lexington Partners. You can expect an attractive and competitive compensation and benefits package. For more information about Lexington, please visit www.lexingtonpartners.com. Please note that the work shift timings for this position are from 11:00 AM to 8:00 PM IST.,
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posted 2 days ago
experience3 to 7 Yrs
location
Hyderabad, Telangana
skills
  • Data Analytics
  • Economics
  • Finance
  • Financial Modeling
  • Real Estate
  • Microsoft Office Suite
  • Lease Modeling
Job Description
Role Overview: If you're looking to advance your career in data analytics, expertise, and technology for the rapidly growing global CRE market, Altus Group offers a purposeful work environment where employees drive impact, innovate, and shape the global commercial real estate (CRE) and PropTech industry. Altus fosters a people-centric culture that empowers you to deliver in a high trust, high-performance environment, surrounded by an inclusive team collaborating to modernize the industry. With a focus on training and growth opportunities, Altus provides a flexible and progressive workplace that reflects its values and teams. Key Responsibilities: - Manage periodic setup of work files including verifying and reviewing source data. - Prepare accurate analysis of asset and market level real estate data for asset underwriting and valuation. - Develop cash flow projections using industry standard software like Argus Enterprise. - Conduct comparisons of analysis files to analyze impacts and attribute variances. - Conduct research and data collection from internal and third-party sources on market rental rates, building transactions, realty tax estimates, and general market knowledge. - Contribute to the maintenance and accuracy of internal data management systems. Key Qualifications: - 2.8 to 5 years of relevant work experience, preferably in Commerce, Real Estate, Economics, or Finance. - Real estate background, specifically Commercial experience, is an asset. - Excellent communication skills - written, verbal, and oral presentation. - Intermediate to advanced proficiency in Microsoft Office Suite and basic financial modeling skills. - Ability to understand and interpret a lease for modeling and source data related to budgeting, actuals, rent roll, recoveries, etc. Additional Details of the Company: Altus Group offers competitive compensation, incentive and bonus plans, and a total rewards package prioritizing employees" mental, physical, and overall financial health. The Altus Intelligence Academy provides over 150,000 hours of learning materials for professional growth. The flexible work model allows for a modernized approach to work locations, promoting a balance between office collaboration and remote focused work. (Note: The section on company details has been included as it provides insights into the benefits and work culture at Altus Group.),
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posted 1 week ago

Associate, Risk Reporting & Analytics

Oaktree Capital Management, L.P.
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Data Validation
  • Exception Management
  • Data Warehousing
  • Data Modeling
  • Data Visualization
  • Python
  • SQL
  • Tableau
  • Power BI
  • AWS
  • Azure
  • Agile Project Management
Job Description
As a Senior Associate of Investment Data and Reporting at Oaktree, you will play a crucial role in overseeing the curation of deal data throughout the investment life cycle, with a focus on credit instruments and markets. Your responsibilities will include: - Data Validation and Exception Management: - Partnering with investment professionals to streamline deal monitoring templates and centralize dissemination of initial deal data and amendments to downstream constituents - Adhering to and enhancing controls frameworks for the definition, ingestion, curation, calculation, review, and use of portfolio company, transaction, and holdings-related data sets - Validating and enriching quantitative and qualitative deal-data throughout the investment life cycle - Centrally managing entity mastering for private companies together with Data Solutions and Technology teams - Ensuring accurate, complete, reliable, and investor-ready data is available for use across the reporting suite - Building and maintaining highest quality fixed income data in collaboration with data management, investment operations, and analytics teams - Leveraging proprietary and third-party software tools for data capture for portfolio monitoring, loan administration, valuation, and reporting - Technology-enabled Reporting: - Creating and maintaining reporting views in data lakes reflecting gold-source investment-related data sets - Utilizing Python, SQL, and data visualization tools to manage and manipulate large data sets and create standardized reports or dashboards - Supporting the implementation of process changes, automated reports, and technology systems for generating standard and recurring reporting as well as dynamic performance and portfolio metrics and insights - Gathering and documenting implementation requirements leveraging reporting and systems knowledge - Partnership & Innovation: - Collaborating with organizational partners to ensure robust data and the production of RR&A deliverables - Partnering with citizen developer teams on the strategic development and tactical execution of technology-enabled reporting activities - Identifying and capturing opportunities to create superior data solutions and build efficiencies through process and technological improvements Qualifications Required: - 5+ years of relevant technical experience in developing/implementing data lake/data warehouse technologies - Solid knowledge of alternative investments and relevant reporting/dashboard outputs and metrics - Strong technical skills with data warehousing and integration technologies - Excellent data modeling skills related to portfolio-company level data, fund-deal data, and holdings and benchmark constituents - Experience in building dashboards and data visualizations using Tableau, Power BI, or other reporting platforms - Expertise and hands-on software development required in Python, Scala/Spark - Knowledge of cloud-based data services and platforms such as AWS, Azure is a plus - Track record of leading solution delivery of end-to-end data projects - Familiarity with Agile project management methodology using tools like JIRA and Confluence - Availability to work during U.S. PST and India IST working hours to interface with key stakeholders Oaktree is an equal opportunity employer committed to cultivating a collaborative, inclusive environment that values diversity of thought. For more information, you can visit our website at www.oaktreecapital.com.,
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posted 2 months ago
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Data Analytics
  • Business Analytics
  • Data Science
  • Financial Modeling
  • MS Excel
  • PowerPoint
  • SQL
  • Python
  • Statistical Models
  • Research Methods
  • Valuation Analyses
  • AI Techniques
  • MSOffice
  • PowerBI
Job Description
As a Senior Data Analytics Specialist at Oliver Wyman DNA, you will be part of a distinguished center of excellence for business analytics and data analytics within Oliver Wyman. Your role will involve leveraging data and information to provide business insights to consulting teams, driving positive outcomes and tangible impact for clients. By combining cutting-edge data science expertise with core consulting skills, you will augment engagement teams with analytical firepower to deliver outstanding results. - Deploy best-in-class analytics, statistical models, and research methods to solve complex business problems and generate impactful business reports. - Support due diligence and valuation projects for private equity clients, assisting in buy decisions, sell/IPO valuations, and post-transaction deal value realization. - Conduct thorough market, financial, and operational due diligence to support investment decisions and deal-value realization. - Develop and maintain financial models, valuation analyses, and data-driven insights using best-in-class analytics and AI techniques. - Prepare clear, concise reports and presentations for internal teams and client stakeholders. - Collaborate with senior team members to identify risks, growth opportunities, and value creation levers for clients. - Support business development efforts by gathering market intelligence and contributing to client proposals. - Maintain and enhance data management and reporting tools leveraging MS Excel, PowerPoint, and other relevant software. - Bachelor's degree in Science, Finance, Mathematics, Economics, or equivalent. MS or Certificate courses in analytics preferred. - Overall experience of 2+ years in data analytics, with a minimum of 1+ years of exposure to market research and/or due diligences. - Excellent analytical and problem-solving skills with a proven ability to deliver actionable insights and proficiency in financial modeling and modeling techniques. - Knowledge and in-depth experience with customer research techniques (interviews, surveys, focus groups). - Experience of doing business research across multiple sectors, preferably in a global consulting firm setup. - Strong written and verbal communication skills with a demonstrated ability to interact effectively with all levels of stakeholders (both internal and external). - Experience of working with specialized data sources such as Capital IQ, Factiva, Bloomberg, etc. - Advanced skills in MS-Office, along with familiarity with Gen AI and other analytical tools preferred. - Strong experience in data analytics and visualization tools such as SQL, Python, and PowerBI. - Quick learner with the ability to learn and pick up a new tool/platform quickly.,
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posted 2 months ago
experience0 to 3 Yrs
location
Hyderabad, Telangana
skills
  • Data extraction
  • Data analysis
  • Research
  • Financial data
  • Microsoft Office
  • MS Excel
  • MS PowerPoint
  • Analytical skills
  • Verbal communication
  • Written communication
  • Financial statements
  • Accounting concepts
  • Financial reporting
  • Financial modeling
  • Balance sheet
  • Ratios
  • Process documentation
  • SOP
  • Financial models
  • Financial valuation reports
  • Problemsolving skills
  • Trial balances
  • Income statement
  • Cash flows
  • Checklist
Job Description
As an Analyst I in the Client Services Operations team at our company, your role involves performing data extraction, analysis on financial models, and financial valuation reports. You will also be responsible for report updates and various support services. The team conducts research and gathers financial and business data as per requests from internal Kroll business units. The collected data is sourced from various publicly available sources and Kroll proprietary files. Your tasks include summarizing the data in the format required by the business units, analyzing data completeness, and verifying accuracy for easy access by the business units. **Key Responsibilities:** - Research and analyze financial information to assist the company in making well-informed commercial decisions - Conduct research and monitor financial movements **Qualifications Required:** - Bachelors degree (preferably in BAF, BFM, B. Com, BMS, BBI, BBA, etc.) or a Masters degree in Finance, Accounting, or Management - MBA or MMS from an accredited college or university - Progress towards CFA certification is highly desirable - Between 0 - 2 years of related experience as a research analyst - Proficiency in Microsoft Office, with strong skills in MS Excel and MS PowerPoint being highly desirable - Strong analytical, comprehension, and problem-solving skills - Excellent verbal and written communication skills - Good understanding of financial statements and accounting concepts, with preferred background/exposure in financial reporting, financial modeling, and preparing trial balances and various accounting schedules As an Analyst I, your responsibilities will include but are not limited to: - Prepare and analyze trial balances and various accounting schedules - Update/Input data into financial models/templates as per guidelines - Conduct broad analysis of income statement, balance sheet, cash flows, ratios, segment performance, etc. - Ensure minimum of >99% quality on processed work - Meet timeliness expectations - Raise queries on a timely basis - Contribute process-related ideas for efficiency - Participate in pilot runs for projects - Be part of training sessions with the team - Ensure adherence to Kroll policies and procedures - Participate in team huddles - Support key initiatives for change implementation - Communicate project status and deliver products and services to ensure stakeholder satisfaction - Assist in process documentation and creation of SOPs and checklists About Kroll: Kroll is the premier global valuation and corporate finance advisor specializing in complex valuation, disputes and investigations, M&A, restructuring, and compliance and regulatory consulting. The organization values diverse backgrounds and perspectives to enable global thinking and collaboration. As part of the team, you will contribute to a supportive and collaborative work environment that empowers excellence. Kroll is committed to equal opportunity and diversity in recruitment based on merit. To be considered for a position, formal application via careers.kroll.com is required.,
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posted 2 months ago
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Valuations
  • Equity Research
  • Renewable Energy
  • EBITDA
  • Financial Modeling
  • MS Excel
  • Corporate Finance
  • Accounting
  • Financial Analysis
  • Alteryx
  • VBA
  • Python
  • Tableau
  • Power BI
  • Project Management
  • English
  • Financial Planning
  • Analytics
  • DCF Method
  • Internal Rate of Return
Job Description
As a valued member of DESRI Holdings, L.P. (DESRI) Financial Planning and Analysis team at DESRI India Private Limited in Hyderabad, India, you will be instrumental in supporting DESRI's portfolio of wind, solar, and storage projects through the quarterly valuation of renewable energy projects across the U.S. Your role will involve collaborating with internal teams, developing valuation models, analyzing key metrics, and presenting comprehensive forecasts and analyses to management and stakeholders. Your Key Responsibilities will include: - Engaging in various Financial Planning and Analytics (FP&A) initiatives, with a primary focus on the quarterly valuation of renewable energy projects - Computing Net Asset Values (NAVs) at different project lifecycle stages and delivering quarterly valuation reports - Liaising with internal teams to compile relevant assumptions and data for valuation models - Creating and refining intricate valuation models using the Discounted Cash Flow (DCF) method - Determining key metrics such as Internal Rate of Return (IRR) and profitability to assess project viability - Generating and presenting detailed NAV forecast packages for the upcoming quarter and full year - Developing EBITDA back tests, forecasts, Value Over Time analyses, management and investor reporting slides, and various other analytical assessments and sensitivities - Maintaining regular communication with U.S. counterparts, conducting quarterly management presentations, and producing visually engaging materials for both internal and external stakeholders Qualifications required for this role: - Possess a minimum of one to three years of experience in valuations, financial analytics, and/or equity research, preferably within the energy, real estate, or financial services sectors - Hold an MBA, CFA, CA, or similar certifications, with specific experience in renewable energy being advantageous - Demonstrate proficiency in constructing and reviewing complex financial models in MS Excel, with a solid grasp of the DCF method - Exhibit a deep understanding of corporate finance, accounting, and financial analysis principles - Showcase excellent analytical skills, effective communication, organizational proficiency, and meticulous attention to detail - Display competence in Alteryx, VBA, Python, and other data visualization tools such as Tableau or Power BI (preferred) - Ability to collaborate efficiently with teams across different time zones and jurisdictions - Strong project management capabilities to handle multiple tasks and deadlines effectively - Fluency in English and exceptional presentation skills are vital for this role,
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posted 2 weeks ago

Analyst - Product & Finance

Actlogica Solutions Private Limited
experience1 to 5 Yrs
location
Hyderabad, All India
skills
  • Financial Analysis
  • Financial Modeling
  • Analytical Skills
  • Microsoft Excel
  • MS Office Suite
  • Financial Statements
  • Written Communication
  • Verbal Communication
  • Accounting Principles
Job Description
As a Financial Analyst at our company, you will play a crucial role in supporting decision-making workflows by performing financial modeling, analyzing financial data, and creating intelligent reports. Your meticulous and analytical skills will be utilized to develop and maintain financial models, analyze trends, suggest improvements, and prepare comprehensive reports and presentations for senior management. You will collaborate with cross-functional teams to evaluate and enhance products and processes, while also assisting in preparing financial presentations for internal and external stakeholders. Key Responsibilities: - Conduct detailed financial analysis to build, test, and support business products. - Develop and maintain financial models to project results, including valuations, cash flow, and balances. - Analyze current and past financial data, identifying trends and variances, and suggesting product and workflow improvements. - Prepare comprehensive reports, presentations, and dashboards for senior management, outlining key results and metrics. - Perform investigations on results and communicate effectively with clients. - Collaborate with cross-functional teams, especially software engineering team, to evaluate and improve products and processes. - Assist in preparing financial presentations for internal and external stakeholders. Qualifications And Skills: - Bachelor's degree in Finance, Accounting, Economics, Mathematics, Statistics, or a related field. - Preferred: 1+ year of experience as a financial analyst or in a similar role. - Strong analytical and quantitative skills, with proficiency in financial modeling. - Proficient in Microsoft Excel, other MS Office Suite tools (Word, PowerPoint, Email), and financial and operational software. - Knowledge of accounting principles and financial statements. - Excellent written and verbal communication skills, with the ability to present complex data clearly. - Strong attention to detail, time management skills, and the ability to meet deadlines. (Note: The additional details provided in the job description were omitted as they were not relevant to the job description content.) As a Financial Analyst at our company, you will play a crucial role in supporting decision-making workflows by performing financial modeling, analyzing financial data, and creating intelligent reports. Your meticulous and analytical skills will be utilized to develop and maintain financial models, analyze trends, suggest improvements, and prepare comprehensive reports and presentations for senior management. You will collaborate with cross-functional teams to evaluate and enhance products and processes, while also assisting in preparing financial presentations for internal and external stakeholders. Key Responsibilities: - Conduct detailed financial analysis to build, test, and support business products. - Develop and maintain financial models to project results, including valuations, cash flow, and balances. - Analyze current and past financial data, identifying trends and variances, and suggesting product and workflow improvements. - Prepare comprehensive reports, presentations, and dashboards for senior management, outlining key results and metrics. - Perform investigations on results and communicate effectively with clients. - Collaborate with cross-functional teams, especially software engineering team, to evaluate and improve products and processes. - Assist in preparing financial presentations for internal and external stakeholders. Qualifications And Skills: - Bachelor's degree in Finance, Accounting, Economics, Mathematics, Statistics, or a related field. - Preferred: 1+ year of experience as a financial analyst or in a similar role. - Strong analytical and quantitative skills, with proficiency in financial modeling. - Proficient in Microsoft Excel, other MS Office Suite tools (Word, PowerPoint, Email), and financial and operational software. - Knowledge of accounting principles and financial statements. - Excellent written and verbal communication skills, with the ability to present complex data clearly. - Strong attention to detail, time management skills, and the ability to meet deadlines. (Note: The additional details provided in the job description were omitted as they were not relevant to the job description content.)
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posted 1 week ago

Financial Analyst

ASSETCARE SERVICES PRIVATE LIMITED
ASSETCARE SERVICES PRIVATE LIMITED
experience1 to 5 Yrs
Salary7 - 16 LPA
WorkContractual
location
Hyderabad, Jammu+8

Jammu, Pattan, Ghaziabad, Rajkot, Gurugram, Chittoor, Faridabad, Kakinada, Ahmedabad

skills
  • modeling
  • analytical
  • communication
  • forecasting
  • accounting
  • skills
  • financial
Job Description
A financial analyst job description involves collecting and analyzing financial data to help businesses and investors make decisions. Key responsibilities include preparing financial reports, creating forecasts and models, evaluating company and market trends, and making investment recommendations. This role requires strong analytical, forecasting, and communication skills, and typically requires a bachelor's degree in a related field.    Data analysis: Gather and analyze historical and current financial data, including financial statements and market trends, to assess performance and identify areas for improvement. Forecasting and modeling: Create financial models, projections, and forecasts to predict future performance, revenue, and expenditures. Reporting and recommendations: Prepare detailed financial reports and present them to management or clients. Based on their analysis, they make recommendations for strategic business decisions or investment strategies.   Valuation: Determine a company's value by examining its financial statements and performance. Industry research: Research macroeconomic and microeconomic conditions, as well as industry and competitor information, to inform analysis and strategy   Analytical skills Financial modeling Forecasting Accounting Communication 
posted 2 months ago

Investment Analyst

Future Solution Centre
experience10 to 20 Yrs
Salary20 - 30 LPA
location
Hyderabad, Bangalore+8

Bangalore, Chennai, Noida, Madhubani, Kolkata, Gurugram, Pune, Mumbai City, Delhi

skills
  • communication skills
  • data
  • analysis
  • interpretation
  • accounting
  • valuation analysis
  • modeling
  • financial
  • thinking
  • problem-solving
  • knowledge
  • critical
Job Description
An Investment Analyst plays a critical role in the financial industry by researching and analyzing investment opportunities to help individuals and institutions make informed decisions. They delve into financial markets, companies, and various asset classes, providing the insights necessary to build successful investment portfolios. Key responsibilitiesInvestment Analysts' responsibilities are diverse, involving in-depth research, financial modeling, and the ability to articulate investment theses. Key duties include:Market and industry research: Conducting comprehensive research on industries, economic trends, and market conditions to identify potential investment opportunities and risks.Company analysis: Performing fundamental analysis on companies, including reviewing financial statements, evaluating business models, and assessing management quality to determine intrinsic value.Financial modeling: Building and maintaining detailed financial models (e.g., discounted cash flow, comparable company analysis) to forecast company performance and valuation.Investment recommendations: Formulating clear, data-backed investment recommendations (buy, sell, hold) based on research and analysis, and presenting them to fund managers, clients, or internal committees.Portfolio monitoring: Tracking the performance of existing investments and portfolios, identifying factors affecting their value, and recommending adjustments as needed.Due diligence: Participating in due diligence for potential investments, which might involve site visits, management interviews, and reviewing legal documents.Reporting: Preparing detailed research reports, investment memorandums, and presentations to communicate findings and recommendations. If you're interested, Kindly forward your resume to:- worksuccess565@gmail.com
posted 2 months ago

Investment Banker

Future Solution Centre
experience15 to >25 Yrs
Salary18 - 28 LPA
location
Hyderabad, Dima Hasao+8

Dima Hasao, Bangalore, Noida, Chennai, Gurugram, Kolkata, Pune, Mumbai City, Delhi

skills
  • valuation
  • market
  • communication skills
  • analysis
  • accounting
  • modeling
  • presentation
  • knowledge
  • principles
  • detail
  • financial
  • to
  • quantitative
  • attention
  • skills
Job Description
An Investment Banker plays a crucial role in the financial world, primarily assisting corporations, governments, and other entities in raising capital and providing strategic financial advice. Their work often involves complex financial transactions, making the role demanding but also highly impactful. Duties and responsibilitiesCapital raising:Underwriting: Assisting clients in issuing and selling debt (bonds) or equity (stocks) securities to investors, involving market analysis, pricing, and distribution.Private placements: Facilitating the raising of capital from a select group of private investors, such as private equity funds or hedge funds.Loan syndication: Arranging large loans for clients by involving multiple banks to share the risk. Mergers and acquisitions (M&A) advisory:Target identification: Identifying potential acquisition targets or buyers for clients.Valuation: Performing in-depth financial analysis and valuation of companies to determine appropriate deal prices.Negotiation: Advising clients during negotiations, structuring deals, and finalizing terms.Due diligence: Assisting with the rigorous investigation of a company's financial records, legal status, and other material facts before a transaction closes. Financial advisory:Strategic consulting: Providing advice on various financial matters, including corporate restructuring, leveraged buyouts, and divestitures.Risk management: Advising clients on managing financial risks, such as interest rate and currency fluctuations. Relationship management:Client acquisition and retention: Building and maintaining strong relationships with clients to understand their financial needs and offer suitable solutions.Market intelligence: Staying abreast of market trends, economic conditions, and regulatory changes to provide informed advice. Deal execution and project management:Pitching: Preparing detailed presentations ("pitch books") to prospective clients, outlining proposed strategies and services.Documentation: Managing and preparing transaction-related documents, including offering memorandums, prospectuses, and legal agreements.Coordination: Working closely with legal teams, accountants, and other specialists to ensure smooth transaction execution. If you're interested, Kindly forward your resume to:- elisajohnson651@gmail.com
posted 5 days ago

Analyst I, Portfolio Analytics

Bristol-Myers Squibb
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Advanced Excel
  • VBA
  • Data Manipulation
  • Statistical Analysis
  • Time Series Analysis
  • Predictive Modeling
  • Business Acumen
  • Project Management
  • Presentation Skills
  • BI Tools
  • Forecasting Software
Job Description
As a Business Analyst I at Bristol Myers Squibb, you will be a key member of the BD Analytics HOCT team in Hyderabad. Your role will involve developing accurate and robust forecasts & simulations across various TAs, including Hematology, Oncology, and Cell Therapy. You will be expected to build & utilize advanced forecasting models & techniques, statistical models, and simulation methodologies to provide actionable insights to leaders and support strategic BD decision-making at BMS. The ideal candidate for this role has 1-3 years of experience in pharmaceutical strategy/valuation or commercial analytics, the ability to build Excel-based models from scratch, and proficiency with industry datasets for sales forecasts, Epi, & Competitive Intelligence. **Experience:** - Bachelor's or master's degree in a relevant field such as Biology/Biotechnology, Finance, Business, Economics, or a related discipline. MBA a plus. - Proven experience (typically 1 to 3 years) in a forecasting role, preferably within the biopharma or pharmaceutical industry. - Hands-on expertise in pharmaceutical forecasting and commercial analytics, modeling platforms, Advanced Excel & VBA, data manipulation software, and visualization tools. - Experience with data analysis and modeling platforms; able to manipulate large datasets and build reusable templates/dashboards. - Fluent with industry datasets for sales forecasts, Epi, & Competitive Intelligence. - Previous experience in Hematology, Oncology, or Cell Therapy (Preferred but not required). **Roles & Responsibilities:** - Partner with BD Analytics HOCT team to maintain comprehensive forecasting models and methodologies to project sales. - Collaborate with cross-functional teams to gather and analyze relevant data, market trends, and historical performance. - Apply advanced statistical analysis techniques and time series/predictive modeling to identify trends/drivers influencing forecasts. - Conduct scenario analyses and simulation studies to evaluate the potential impact of various factors, such as market dynamics, pricing strategies, class or brand share evolution, and regulatory changes. - Prepare and present forecast reports, dashboards, and presentations to communicate findings, insights, and recommendations to team members to align forecasts with business goals and strategies. - Stay up-to-date with industry trends, emerging methodologies, and best practice forecasting and simulation. - Translate complex data and analytics into clear, actionable insights that drive business decisions. - Proactively and continuously assess the relevant marketplace and its dynamics, customers, competitors, and future development. - Build new capabilities to automate data gathering and reporting that support key senior leadership forums. - Collaborate with IT teams to optimize data infrastructure, enhance data collection, and leverage advanced analytics tools for forecasting and simulation purposes. **Skills and competencies:** - Strong analytical and problem-solving skills with an understanding of statistical forecasting techniques, time series analysis, and predictive modeling. - Familiarity with forecasting software and advanced forecasting methodologies. - Solid ability to present complex information to non-technical stakeholders in a clear manner. - Strong project management skills and the ability to work independently or as part of a team. - Strong attention to detail and ability to work with large datasets to ensure accuracy and reliability of forecasts. - Strong business acumen and the ability to translate forecast findings into actionable insights and recommendations. - Experience with analytics and presentation tools (Excel and PowerPoint; VBA/Python and BI tools are a plus). - Strong project management skills and the ability to work independently or as part of a team. At Bristol Myers Squibb, you will have the opportunity to work on uniquely interesting projects that can transform your life and career.,
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posted 1 month ago
experience8 to 12 Yrs
location
Hyderabad, Telangana
skills
  • Excel
  • Power BI
  • SQL
  • Data Modeling
  • Data Visualization
  • Data Governance
  • Compliance
  • Security Practices
Job Description
Role Overview: At Altus Group, we are looking for a highly analytical and adaptable Business Intelligence professional to support the Senior Director of Commercial Strategy and Chief of Staff in driving key operational initiatives and strategic transformations within the Valuation Advisory business. Your role will involve advanced analytical skills, the ability to translate complex insights into impactful business actions, and working cross-functionally to enhance execution and inform executive decision-making. Key Responsibilities: - Utilize advanced analytical skills using tools like Excel, Power BI, and SQL to break down complex business problems, synthesize findings, and communicate actionable insights. - Design and deliver business intelligence solutions and dashboards, with Power BI as a key tool, to define data strategies aligned with business priorities and identify performance drivers and KPIs. - Lead efforts to enhance data integrity, accessibility, and governance across the business unit, partnering with data engineering and IT teams to integrate new data sources and maintain reporting reliability. - Investigate root causes of data and process issues, manage change requests, user support inquiries, and maintain an organized log of requests and resolutions for transparency and accountability. - Prepare reporting packages, performance summaries, and business decks for executive forums by translating data into compelling narratives and visuals to inform senior leadership. Qualification Required: - Minimum 8-10 years of experience in an analytical or operations-focused role. - Bachelors degree in Business Analytics, Engineering, Economics, or a related field. - Expertise in Power BI and data modeling; proficiency in SQL and data visualization. - Strong communication skills with the ability to influence through data storytelling. - Familiarity with data governance, compliance, and security practices. - Experience in high-growth, data-centric environments preferred. Additional Details: Altus Group offers competitive compensation, incentive and bonus plans prioritizing employees" mental, physical, and overall financial health. They invest in employees" growth and development through the Altus Intelligence Academy, offering over 150,000 hours of learning materials. Altus Group provides a flexible work model with an Activity-Based Work approach, allowing flexibility in work location based on the type of work being performed - office for connecting and collaborating, and remote for focused work. Altus Group is dedicated to fostering an inclusive work environment promoting diversity, equity, and inclusion, offering equal opportunities for all employees with diverse experiences. Accessible candidate experiences are provided throughout the selection process, and accommodations can be requested by contacting accessibility@altusgroup.com or +1 888 692 7487.,
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posted 3 weeks ago
experience20 to 24 Yrs
location
Hyderabad, Telangana
skills
  • Financial Operations
  • Budgeting
  • Forecasting
  • Accounting
  • Financial Reporting
  • Valuation
  • Due Diligence
  • Compliance
  • Team Management
  • Financial Modelling
  • Analytical Skills
  • Leadership
  • Presentation Skills
  • Financial Models
  • Mergers Acquisitions
  • Strategic Financial Insights
  • Accounting Principles
Job Description
As a highly experienced and strategic Finance & Accounts professional with over 20 years of experience in the manufacturing industry, your role will involve overseeing all financial operations, including budgeting, forecasting, accounting, and financial reporting. You will be responsible for developing and maintaining financial models to support business planning and investment decisions. Additionally, you will manage Mergers & Acquisitions (M&A) activities, ensure compliance with accounting principles and regulatory requirements, and lead, mentor, and maintain the Finance & Accounts team for effective performance and professional growth. Providing strategic financial insights and recommendations to senior management and building and leading a high-performing finance team to support business growth will also be key aspects of your role. Key Responsibilities: - Oversee all financial operations including budgeting, forecasting, accounting, and financial reporting. - Develop and maintain financial models to support business planning and investment decisions. - Manage Mergers & Acquisitions (M&A) activities, including valuation, due diligence, and integration. - Ensure compliance with accounting principles, financial reporting standards, and regulatory requirements. - Lead, mentor, and maintain the Finance & Accounts team, ensuring effective performance and professional growth. - Provide strategic financial insights and recommendations to senior management. - Build and lead a high-performing finance team to support business growth. - Liaise with banks, auditors, investors, and regulatory authorities as required. Qualifications & Experience: - 20+ years of experience in Finance and Accounts, preferably within manufacturing industries. - Experience in the Manufacturing industry is a must. Defence or Aerospace industry experience is a plus. - Strong financial modeling and analytical capabilities. - Excellent knowledge of accounting principles and financial reporting standards. - Strong communication, leadership, and presentation skills. In addition to the role responsibilities and qualifications, the company offers you the opportunity to work in a dynamic and growing industrial organization, exposure to Defence and Aerospace sectors, competitive compensation, and performance-based rewards. Interested candidates can apply by sending their updated resume to mail@secindustries.com with the subject line Application Head Finance & Accounts.,
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posted 2 months ago

BPO US Accounting - Staff

Citrin Cooperman India LLP
experience0 to 3 Yrs
location
Hyderabad, Telangana
skills
  • Accounting
  • US accounting
  • Excel
  • Word
  • Xero
  • Financial analysis
  • Modeling
  • Valuation
  • Research
  • Communication skills
  • Time management
  • QBO
  • SAGE
  • NetSuite
  • Yardi
  • Analytical abilities
  • Organizational skills
Job Description
As a candidate for the position, you should have a strong conceptual accounting knowledge and be either a Fresh Chartered Accountant OR possess a Masters degree with 2+ years of experience in accounting, preferably US accounting. You should be well acquainted with software/applications like Excel, Word, QBO, Xero, SAGE, NetSuite, Yardi etc. Additionally, you must have strong time management and organizational skills, be a self-starter, highly collaborative, creative, outgoing, and possess strong financial analysis, modeling, and valuation skills. Your qualitative and quantitative research and analytical abilities should be strong, and you should have good written and spoken communication skills. It is essential that you have the ability to work as part of a team, follow instructions, and maintain excellent work ethics. Your responsibilities in this role will include, but not be limited to: - Preparing workpapers, accounting schedules, and extracting and preparing various management reports as per clients" needs. - Assisting on projects such as accounting clean-up, books rebuild, software migration, account adjustments, and furnishing information to other departments as necessary. - Learning new software and developing new technological skills required for accounting and financial reporting. - Adhering to deadlines for assigned tasks and keeping the reviewer updated on progress. - Self-reviewing work for accuracy and completeness to ensure a quality product before submission to the reviewer/manager. - Preparing Standard Operating Procedures (SOP) for assigned tasks and updating them regularly. - Adhering to the firm's internal policies, procedures, and controls. - Collaborating with both India-based and US-based staff on an ongoing basis to perform transactional activities, technical accounting activities, and reporting activities. If there are any additional details about the company in the job description, kindly provide them for further insights.,
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posted 1 month ago

Associate Vice President Investment banking

Talent Corner HR Services Pvt Ltd
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Debt syndication
  • Leadership
  • Team Management
  • Fundraising
  • Financial Analysis
  • Valuation
  • Client Management
  • Process Improvement
  • Reporting
  • Credit Analysis
  • Financial Modeling
  • Forecasting
  • Communication Skills
  • Microsoft Word
  • Microsoft Excel
  • Microsoft PowerPoint
  • Analytical Skills
  • Data Interpretation
  • MA activities
  • Debt Syndication Expertise
  • Stakeholder Communication
  • Term Sheet Negotiations
  • Business Plans
  • Investor Decks
Job Description
As an Associate Vice President in Investment Banking, your role involves managing the Investment Banking team, debt syndication, handling clients independently, and overseeing the execution of fundraising (debt) and M&A activities. Your experience and expertise will be crucial in driving successful transactions and maintaining strong client relationships. Key Responsibilities: - Leadership and Team Management: - Lead and manage the Investment Banking team, ensuring high-quality outcomes. - Provide mentorship and guidance to team members, fostering professional growth and collaboration. - Oversee deal execution to ensure all deliverables are met within timelines. - Fundraising and M&A: - Manage the end-to-end process of fundraising (debt) and M&A transactions. - Oversee the preparation of investor pitch decks, placement memoranda, and due diligence documentation. - Drive deal origination, structure deals, manage competing offers, and ensure timely deal closures. - Debt Syndication Expertise: - Structure and negotiate debt deals with multiple lenders. - Possess strong knowledge of credit analysis, debt instruments, and term sheet negotiations. - Investor/Lender Network: - Have proven relationships with banks, NBFCs, and other financial institutions for effective debt raising. - Client Management: - Act as the primary point of contact for clients, building and maintaining strong relationships. - Understand client needs and ensure bespoke solutions are delivered. - Engage, network, and build relationships with potential investors and stakeholders. - Financial Analysis and Valuation: - Analyze financial data and oversee the development of financial models for valuations. - Conduct research on industries, competitors, and macroeconomic factors to support decision-making. - Create business plans, forecasts, and investor decks tailored to client requirements. - Stakeholder and External Communication: - Oversee all organizational communication with external stakeholders, ensuring accuracy and alignment with intended messaging. - Supervise the preparation of press releases, journalist Q&As, and factsheets, ensuring timeliness and quality. - Process Improvement and Reporting: - Identify and implement process improvements to enhance efficiency. - Develop standard and ad-hoc reports, tools, and Excel dashboards for improved analysis and reporting. Basic Qualifications: - Qualified CA (Chartered Accountant) or MBA (Finance). - 5+ years of experience in Investment Banking or a related field. - Proven experience in managing teams and handling clients independently. - Experience in handling real estate projects is an added advantage. - Advanced proficiency in Microsoft Word, Excel, and PowerPoint. - Strong analytical, valuation, and data interpretation skills.,
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posted 2 months ago

Tax Senior

Citrin Cooperman India LLP
experience3 to 7 Yrs
location
Hyderabad, Telangana
skills
  • Accounting
  • Consulting
  • Tax Compliance
  • Business Advisory
  • Valuation
  • Litigation Support
  • Tax Law
  • Depreciation
  • Financial Modeling
  • Project Management
  • Partnership Returns
  • Corporation Returns
  • SCorporation Returns
  • International Returns
  • Financial Statements Analysis
  • State Tax Returns
  • Tax Capital Accounts
  • Efile Validation
  • US Income Tax Laws
Job Description
As a member of Citrin Cooperman, you will have the opportunity to contribute to our mission of providing outstanding professional support to all offices in the areas of accounting, attest and auditing, tax compliance and consulting, business advisory, valuation, and litigation support. Your role will involve the following key responsibilities: - Prepare and Review Complex form 1065-Partnership returns for financial service/Real estate and operating partnership including 1120-C and 1120-S federal and state jurisdictions returns. - Conduct a detailed review of simple and moderate returns of partnership, corporation, and S-Corporation for both federal and state jurisdictions. - Identify potential adjustments due to tax law changes and reflect them in workpapers and returns. - Assist staff in addressing tax issues with proposed solutions. - Provide training and mentorship to new joiners on tax concepts and technology. - Share detailed review feedback with staff and provide resolutions to tackle identified issues. - Independently manage kickoff calls or with minimal support from Supervisors or Managers. - Collaborate with US counterparts and monitor the budget assigned for each task. - Knowledge of efile validation and diagnostics of returns. - Identify and review potential book to tax (Sch M-1) adjustments. - Conduct in-depth analysis of depreciation and gain/loss. - Analyze financial statements and extract relevant details. - Demonstrate advanced tax technical knowledge on state tax returns, applications, nexus, and filing requirements. - Have a clear understanding of partners" tax capital accounts. - Perform self-review of complex work before submitting for review. - Document open items and provide updates to reviewers within set deadlines. - Work on multiple projects simultaneously and maintain correspondence with aligned reviewers on status. - Utilize hands-on experience with tools and applications. - Enhance tax technical skills through secondary and cross-skills set, guiding staff towards 3-5 years of experience in individual taxation. Additionally, the qualifications required for this role include holding a CA, CPA, EA, MBA Finance, M.COM, B.Com, or BBA degree, along with knowledge of a broad range of US income tax laws. You will also be expected to develop and train new and experienced staff, exercise initiative and sound judgment, and be responsive to clients. Your strong writing, Excel modeling, and verbal communication skills will be essential for success in this role, along with strong analytical, organizational, and project management skills. Join Citrin Cooperman and be part of a dynamic team dedicated to providing top-quality professional services to clients across various industries.,
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posted 2 months ago

Corporate Finance Manager

Promaynov Advisory Services Pvt. Ltd.
experience6 to 10 Yrs
location
Hyderabad, Telangana
skills
  • Budgeting
  • Forecasting
  • Financial Planning
  • Investor Reporting
  • Financial Modeling
  • Capital Allocation
  • Stakeholder Management
  • Financial Analysis
  • Portfolio Monitoring
  • MA
Job Description
As a Manager Corporate Finance, your role will involve leading and overseeing various corporate finance activities. Your key responsibilities will include: - Leading and overseeing corporate finance activities such as budgeting, forecasting, and financial planning. - Managing investor reporting to ensure accuracy, timeliness, and compliance with investor requirements. - Developing and maintaining financial models to support fundraising, portfolio monitoring, and strategic decision-making. - Providing strategic support to senior leadership on capital allocation, M&A opportunities, and business expansion plans. - Overseeing and mentoring the finance team to drive efficiency, accuracy, and professional growth. - Collaborating with cross-functional teams to streamline reporting and finance processes. - Utilizing Salesforce for financial reporting, investor communication, and data management (preferred). To excel in this role, you will need to meet the following qualifications: - 6-10 years of relevant experience in corporate finance, with a strong exposure to team management. - Prior experience in Private Equity focusing on corporate finance, investor reporting, or portfolio management is mandatory. - Strong expertise in financial modeling, valuation, and strategic analysis. - Excellent communication and stakeholder management skills. - Proficiency in Salesforce is preferred. Please note that this position is based in Hyderabad and follows a WFO schedule with 5 days working.,
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posted 2 months ago

Tax Staff & Tax Senior

Citrin Cooperman India LLP
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Tax Returns
  • Tax Research
  • Client Relationship Management
  • Project Management
  • Verbal Communication
  • Excel Modeling
  • CCH Axcess Tax Software
  • Caseware
  • Microsoft Office Applications
  • Tax Research Software
Job Description
As a US Tax Staff & Tax Senior at Citrin Cooperman, you will play a crucial role in preparing and reviewing U.S. tax returns for Trust, Estate, and individuals. Your responsibilities will include independent tax research, coordination with team members, overseeing tax processes, managing deadlines, and building strong client relationships. To excel in this role, you should have at least 1 year of experience in Trust, Estate, and individual taxation, along with qualifications such as CA, CA Inter, CPA, EA, MBA Finance, M.COM, B.com, or BBA. Additionally, you should possess knowledge of a broad range of US income tax laws, the ability to develop and train staff, demonstrate initiative and sound judgement, and be responsive to clients" needs. Key Responsibilities: - Preparation & Review of U.S. tax returns including tax returns for Trust, Estate & individuals form 1041, 1040 form - Conducting tax research independently - Coordinating with team members at all levels for effective communication and timely deliverables - Overseeing tax processes, reviewing work product, ensuring timely delivery of services, developing team members, and managing tax processes efficiently - Handling multiple projects, prioritizing effectively, managing deadlines, and building strong relationships with clients, peers, supervisors, and U.S. colleagues Qualifications: - 1+ years of experience in Trust, Estate, and individual taxation - Qualification in CA, CA Inter, CPA, EA, MBA Finance, M.COM, B.com, BBA - Knowledge of a broad range of US income tax laws - Ability to develop and train staff, exercise initiative and sound judgement, and be responsive to clients Additional Details: Citrin Cooperman is a leading accounting and consulting firm with over 2,500 employees in 22 U.S. and International offices. Rated as one of the Top 50 Best Companies to work for, we provide outstanding professional support in accounting, attest and auditing, tax compliance and consulting, business advisory, valuation, and litigation support. Join us to take your career to the next level and make a difference while focusing on what matters to you. Required Skills: - Strong writing, Excel modeling, and verbal communication skills - Excellent analytical, organizational, and project management skills - Proficiency in CCH Axcess tax software, Caseware, Microsoft Office applications, and expertise in tax research software (Bloomberg BNA, RIA Checkpoint, Intelliconnect),
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posted 2 months ago

US Accounting - Manager

Citrin Cooperman India LLP
experience6 to 10 Yrs
location
Hyderabad, Telangana
skills
  • US GAAP
  • Financial Analysis
  • Financial Reporting
  • Accounting
  • Excel
  • Word
  • Xero
  • Written Communication
  • Time Management
  • Team Leadership
  • Financial Modeling
  • Qualitative Research
  • Quantitative Research
  • QBO
  • SAGE
  • NetSuite
  • Yardi
  • Spoken Communication
  • Organizational Skills
  • Valuation Skills
  • Analytical Abilities
  • Techsavvy
Job Description
As a Business Process Outsourcing (BPO) Manager at Citrin Cooperman's India office, your role involves overseeing various accounting functions, ensuring compliance with firm policies, and leading a team to provide high-quality financial services to clients. Key Responsibilities: - Review various accounting functions on US clients" files including detailed analysis of the balance sheet and income statement. - Review workpapers, accounting schedules, and management reports prepared by the Staff as part of month-end closing procedures. - Lead projects such as accounting clean-up, books rebuild, software migration, and account adjustments as required. - Review the work of Staff, provide constructive feedback, and assist in their professional development. - Learn new software and develop technological skills for accounting and financial reporting. - Plan and manage Staff work schedules, adhere to deadlines, and keep the Partner updated on progress. - Self-review work for accuracy, completeness, and adherence to internal policies and procedures. - Collaborate with both India-based and US-based staff for transactional, technical, and reporting activities. Qualifications: - Chartered Accountant/CPA with 6+ years of experience OR Masters with 8+ years of experience in US accounting. - Experience in reviewing technical accounting matters and period-end close documentation. - Strong conceptual accounting knowledge with proficiency in applying US GAAP. - Tech-savvy with familiarity in software/applications like Excel, Word, QBO, Xero, SAGE, NetSuite, Yardi, etc. - Strong financial analysis, modeling, and valuation skills. - Possess strong qualitative and quantitative research and analytical abilities. In this role, you will be offered a salary commensurate with industry standards along with employment benefits such as Provident Fund, Gratuity, Medical Insurance, Group Personal Accident Insurance, depending on the position. Please note that no additional company details were provided in the job description.,
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posted 2 months ago
experience6 to 10 Yrs
location
Hyderabad, Telangana
skills
  • US GAAP
  • Financial Analysis
  • Accounting
  • Excel
  • Word
  • Xero
  • Financial Modeling
  • Valuation
  • Communication Skills
  • Time Management
  • Team Leadership
  • QBO
  • SAGE
  • NetSuite
  • Yardi
  • Organizational Skills
Job Description
As a Business Process Outsourcing (BPO) Manager at Citrin Cooperman in the India office, your role involves overseeing various accounting functions to ensure compliance with firm policies and leading a team to provide high-quality financial services to clients. Key Responsibilities: - Review various accounting functions on US clients" files, including detailed analysis of the balance sheet and income statement. - Review workpapers, accounting schedules, and management reports prepared by the Staff as part of month-end closing procedures. - Lead projects such as accounting clean-up, books rebuild, software migration, and account adjustments as required. - Review the work of Staff, provide constructive feedback, and help them develop their technical and professional skills. - Plan and manage Staff's work schedules, adhere to deadlines, and self-review work for accuracy before submission. - Preparation/review of SOP for assigned tasks and updating regularly. - Adhere to internal policies, procedures, and controls, and collaborate with both India-based and US-based staff on transactional, technical, and reporting activities. Qualifications: - Chartered Accountant/CPA with 6+ years of experience OR Masters with 8+ years of experience in US accounting. - Experience in reviewing technical accounting matters and period-end close documentation. - Strong conceptual accounting knowledge and ability to apply US GAAP. - Tech-savvy with familiarity in software/applications like Excel, Word, QBO, Xero, SAGE, NetSuite, Yardi, etc. - Strong financial analysis, modeling, and valuation skills. - Excellent qualitative and quantitative research and analytical abilities. The salary offered for this position is commensurate with industry standards, along with additional benefits such as Provident Fund, Gratuity, Medical Insurance, Group Personal Accident Insurance, and other employment benefits based on the position. Citrin Cooperman is committed to diversity and inclusivity in their hiring practices.,
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