Job Description
Key Responsibilities:
- Financial analysis and evaluation of investment portfolios, assessing performance, identifying trends, and providing insights.
- Preparation of earnings packs with forecast and actuals data, covering various capital metrics, revenue and other fund related data.
- Working on various business and reporting processes, supporting other internal teams, with fund related financial data.
- Update cashflows into the fund models, reconciliation and maintain fund models reflecting latest assumptions and data changes.
- Handling reporting requirements for higher management, covering insights on various metrics such as total AUM, fee AUM, fundraising, inflows, dry powder, capital deployed, management fees, incentive fees, realization, market & other related metrics.
- Maintaining Operating model with good understanding of various strategies including direct lending, liquid credit, asset-based finance, energy & insurance funds.
- Modelling of waterfall calculation involved in a fund, including carried interest calculation & undertake carry analysis.
- Populate and maintain operating models with recent quarter updates, new fund additions and other metric updates.
- Performing reviews and writing commentaries on revenue & expense changes.
- Build or maintain excel based databases, to be utilized internally, capturing financial and related data on all funds.
- Work with onshore team to support the management and division heads with data-driven analysis.
- Collaborating with cross-functional teams, including portfolio managers, investment
analysis, and operations teams, for data or any input requirements.
- Any other ad-hoc requests.