This role focuses on leading valuation activities across multiple asset classes ensuring robust valuation methodologies and supporting the organisation with independent analysis due diligence and model oversight. You will work closely with internal teams and external providers to maintain a high-quality asset pricing framework and contribute to the continuous improvement of valuation practices.
Responsibilities
- Provide independent views on key risks affecting asset valuation.
- Promote strong valuation practices and a rigorous methodological culture.
- Support the management of valuation processes for liquid and illiquid assets including alternative assets.
- Conduct independent valuation analyses across full valuation cycles (data gathering business assessment modelling).
- Perform or review equity and debt valuations using market income and replacement-cost approaches.
- Review valuation model assumptions and recommend updates when necessary.
- Contribute to financial legal and technical due diligence and coordinate external valuation advisors.
- Assist in responding to auditor requests related to asset pricing.
- Prepare valuation results clearly and efficiently.
- Conduct independent research to gather market and industry insights.
- Supervise and challenge periodic valuations performed by external service providers.
- Participate in periodic review and improvement of valuation policies and procedures.
- Collaborate with internal teams including fund administration risk management project management and legal.
- Optimise processes by developing best practices increasing efficiency and mitigating valuation risks.
- Stay informed on regulatory and industry trends related to valuation models and asset pricing.
Requirements
- At least 5 years of experience in consulting accounting audit banking or private equity.
- Masters degree in finance or equivalent qualification with asset management or risk management focus.
- Strong analytical quantitative investigative and reporting skills.
- Fluency in English and French (spoken and written); Italian is an advantage.
- Experience with local and European regulation (UCITS AIFMD).
- Strong capabilities in due diligence analysis and valuation of Private Debt.
- Ability to perform comprehensive analyses of project financing and private debt assets; credit rating experience is a plus.
- Broad understanding of financial assets and valuation practices.
- Knowledge of quantitative and statistical models.
- Excellent modelling skills in Excel; proficiency in PowerPoint and Word; familiarity with Bloomberg Capital IQ or similar tools.
- Strong communication skills and ability to explain technical topics clearly.
- Problem-solving mindset and proactive collaboration style.
- Ability to work under pressure in a small high-quality professional environment.
- Hands-on curious motivated flexible and focused on delivering results.
- Strong integrity and ethical standards.
Benefits
- Hybrid working arrangement with several remote days per week and limited remote work from abroad.
- Meal vouchers.
- Corporate insurance and supplementary pension options.
- Modern working conditions within an international environment.
- High-quality professional setting with strong collaboration across teams.
This role focuses on leading valuation activities across multiple asset classes ensuring robust valuation methodologies and supporting the organisation with independent analysis due diligence and model oversight. You will work closely with internal teams and external providers to maintain a high-qua...
This role focuses on leading valuation activities across multiple asset classes ensuring robust valuation methodologies and supporting the organisation with independent analysis due diligence and model oversight. You will work closely with internal teams and external providers to maintain a high-quality asset pricing framework and contribute to the continuous improvement of valuation practices.
Responsibilities
- Provide independent views on key risks affecting asset valuation.
- Promote strong valuation practices and a rigorous methodological culture.
- Support the management of valuation processes for liquid and illiquid assets including alternative assets.
- Conduct independent valuation analyses across full valuation cycles (data gathering business assessment modelling).
- Perform or review equity and debt valuations using market income and replacement-cost approaches.
- Review valuation model assumptions and recommend updates when necessary.
- Contribute to financial legal and technical due diligence and coordinate external valuation advisors.
- Assist in responding to auditor requests related to asset pricing.
- Prepare valuation results clearly and efficiently.
- Conduct independent research to gather market and industry insights.
- Supervise and challenge periodic valuations performed by external service providers.
- Participate in periodic review and improvement of valuation policies and procedures.
- Collaborate with internal teams including fund administration risk management project management and legal.
- Optimise processes by developing best practices increasing efficiency and mitigating valuation risks.
- Stay informed on regulatory and industry trends related to valuation models and asset pricing.
Requirements
- At least 5 years of experience in consulting accounting audit banking or private equity.
- Masters degree in finance or equivalent qualification with asset management or risk management focus.
- Strong analytical quantitative investigative and reporting skills.
- Fluency in English and French (spoken and written); Italian is an advantage.
- Experience with local and European regulation (UCITS AIFMD).
- Strong capabilities in due diligence analysis and valuation of Private Debt.
- Ability to perform comprehensive analyses of project financing and private debt assets; credit rating experience is a plus.
- Broad understanding of financial assets and valuation practices.
- Knowledge of quantitative and statistical models.
- Excellent modelling skills in Excel; proficiency in PowerPoint and Word; familiarity with Bloomberg Capital IQ or similar tools.
- Strong communication skills and ability to explain technical topics clearly.
- Problem-solving mindset and proactive collaboration style.
- Ability to work under pressure in a small high-quality professional environment.
- Hands-on curious motivated flexible and focused on delivering results.
- Strong integrity and ethical standards.
Benefits
- Hybrid working arrangement with several remote days per week and limited remote work from abroad.
- Meal vouchers.
- Corporate insurance and supplementary pension options.
- Modern working conditions within an international environment.
- High-quality professional setting with strong collaboration across teams.
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