Hybrid
Full Time Corporate Finance & Strategic Planning
Manage and perform illiquid equity valuation reviews across multiple alternative asset classes and strategies, including growth equity, private equity and infrastructure equity.
Prepare valuation materials and sensitivity analyses, including presentations to senior stakeholders
Apply various valuation approaches in analysis including Market approach (public comps, precedent transactions, index proxies), Income approach (DCF, scenario‑based analyses), Net asset value and hybrid methodologies, where applicable
Perform deal‑related reviews by leading coordination efforts control functions to assess accounting treatment, valuation considerations, and disclosure impacts
Manage and actively participate in teamwide and firmwide strategic initiatives focused on process improvement and automation to drive collaboration across stakeholders
Regular interaction with Controllers management, the Portfolio Management team and support areas such as Fund Accounting, Operations, Technology, Risk, Legal, Compliance and Investor Relations
Involvement in external/internal audit review process
Manage the development of junior team members through coaching and mentoring
QUALIFICATIONS
At least 6+ years of relevant work experience preferably in valuation advisory, alternative asset management, or valuation control
Comprehensive understanding of Private Equity, Private Debt, and Real Estate valuations, including in-depth knowledge of valuation methodologies, including market approach and DCF. Complex capital structure equity allocation knowledge preferred
Strong understanding of the fixed income and equity markets and the alternative investment management industry
Strong knowledge of valuation related accounting disclosures (ASC 820)