EMCR
EMCR EMCR
or

Search Results

Financial Analysis, Financial Planning, Financial Reporting, Financial Analytics, Management Reporting
And Analysis, Financial Management, Financial Risk Manager (FRM), Financial Modeling
Qualifications: o Bachelor's degree in Finance, Accounting, Economics, or a related field.
o 1-3 years of experience in a financial analysis, accounting, or related role.
o Knowledge of financial reporting and data analysis.
We are seeking an analytical and detail-oriented Financial Analyst to join our team.
In this role, you will engage in thorough analysis of financial data, and contribute to budgeting, forecasting
, and the development of financial strategies.
Additionally, you will enhance management reporting systems to ensure financial data is accurate, timely
Key Responsibilities: o Developing and implementing sophisticated management reporting systems that
capture, analyse, and visualise financial data, ensuring reliable insights inform our strategies.
o Guaranteeing the accuracy and timeliness of financial information for both internal stakeholders and
o Compiling and delivering comprehensive monthly, quarterly, and annual management reports that track
our financial health and operational efficiency.
o Conducting detailed analyses of financial indicators to illuminate their implications for strategic
Digital & Analogue Partners - We provide advanced legal, economic, and strategic consulting services,
Specialist in management reporting and financial analysis (Junior to Mid-Level | Remote Work Option),
o Highly qualified management is always at your disposal.
Crypto & blockchain, Consulting, DeFi, Market Research, Business Modelling, Management Consultancy, Finacial
Modelling, Investment Research, Strategic Research
- A minimum of three years of experience in financial consulting or asset management, or two years in
a web3-related asset management firm or financial (management) consulting
- Proficient in financial modelling and analysis, with advanced skills in Microsoft Excel.
- Conduct research, develop models, and prepare analytical reports and presentations that provide valuable
Our core focus lies in delivering comprehensive strategic, operational, financial, and investment consulting
services.
Specifically tailored for Web3 companies, our offerings include: - Strategy Development and Business modelling
Consultant, you will be responsible for conducting research, preparing analytical reports, preparing financial
models, working on client projects, and supporting our team in various tasks.
Crypto & blockchain, Consulting, DeFi, Market Research, Business Modelling, Management Consultancy, Finacial
Modelling, Investment Research, Strategic Research
- Master's degree in Business, Finance, Economics, or a related field.
A minimum of 1 year of experience in a relevant position in: - or crypto-related firm; - management
- Strong financial modelling skills, proficiency in Microsoft Excel.
- Conduct research and analysis on market trends, industry verticals, emerging blockchain technologies
- Work on client projects, providing strategic, operational, and financial advice tailored to each
client's specific needs, developing strategies, analysing business models, designing tokenomics, and
Our core focus lies in delivering comprehensive strategic, operational, financial, and investment consulting
services.
Specifically tailored for Web3 companies, our offerings include: - Strategy Development and Business modelling
Finance, Corporate Investment Banking, Financial Modelling, Mergers And Acquisitions (M&A), Corporate
Financing
outstanding academic and professional achievement • At least 3 years of investment banking / corporate finance
experience • Strong quantitative, analytical, communication, financial modelling and valuation skills
Sber M&A team (Investment Banking), being a part of the Investment department, provides integrated financial
solutions and investment advisory services to our clients, the majority of whom are large companies.
responsibilities of the role: • Providing support to the team on origination and execution of corporate finance
Preparation of presentations, complex financial models, analysis of trends and developments of specific
with advisers, lawyers, accountants and other counterparties • Preparation of comprehensive valuation analysis
Federation • Regular corporate training • VMI, insurance against accidents and serious diseases • Financial
Corporate Finance, Mergers And Acquisitions (M&A), Merchant Banking, TMT Industry, Business Valuation
, Mezzanine Financing
communicative skills -Willingness to learn and develop across wide range of products and tasks -Strong financial
modeling, valuation, solid quantitative and reasoning skills -Ability to maintain high standard of
Valuation departments at Big-4 -Critical thinking and high motivation -Confident knowledge and skills in financial
mathematics, corporate finance and financial analysis -Passed CFA levels is a plus
-Development and analysis of potential equity and mezzanine opportunities -Support for deals execution
, participation in structuring process -Preparation of financial models, business valuation, fundamental
analysis of potential investments -Drafting of analytical presentations, pitches, preparation of info
memos and other materials -Gathering data for company and industry analysis -Preparation of materials
the Labor Code of the Russian Federation -VMI, insurance against accidents and serious diseases -Financial
Private Banking, Portfolio Management, Sales Trader, Sales And Trading, Private Banking Sales, Credit
Portfolio Analysis, Portfolio Risk Management, Bond Portfolio Management, Investment Sales, Fixed Income
Portfolio Management
High education (preferably financial); Work experience in Finance/Investment sphere; Work experience
in Sales of financial products 3-5 years (private banking); Work experience in servicing of High-networth
Institute of Directors is searching for Investment company Financial Consultant/Sales To attract
ID Universe - Management Consulting & Executive Search company. Head office based in Zurich.
Financial Consultant/Sales, ID Universe
Investment Analysis, Financial Modeling
Top-tier university with Economics/Finance/Math major; Experience in Corporate Finance or with a relevant
investment banking, PE / VC or management consulting background; Deep understanding of financial modeling
Morgan investment banker is looking for a strong candidate to join the team and participate in corporate finance
You will work closely with top-management and will lead strategic transformation of Skyeng as one of
deals: prepare transaction materials, support Due Diligence process and manage internal workstreams; Financial
modeling, critical assessment of projections, scenario analysis; Preparing performance reports to shareholders
Corporate Investment Banking, Corporate Finance, Financial Modelling, Credit Analysis, Business Valuation
, Investment Analysis
Requirements: - 1-2 years of work experience in finance area is a must (Big 4 corporate finance, investment
banking, fixed income / credit departments) - Previous experience in credit (Fixed Income, Leveraged finance
, Credit or Credit Trading) and/or structuring is desirable - Strong analytical and financial / quantitative
/ modelling skills - Pro-active with an ability to manage multiple projects - Transaction experience
VTB Bank is looking for analyst for the Credit, Leveraged finance and Investments.
CLFI provides largest CIS companies and funds with debt financing for different purposes (LBO / MBO,
Buybacks, Bridge loans, M&A financing, etc.).
day-to-day responsibilities include: - Assisting senior colleagues in completion and delivery of credit analysis
(incl. building financial models and writing credit memos) - Drafting term sheets, facility agreements
Corporate Investment Banking, Portfolio Management, Due Diligence, Private Equity, Physics, Investment
Fund, Investment Analysis, Chartered Financial Analyst (CFA), Investment Research, Data Presentation
● Degree in Mathematics or Physics is a must (at least high school) ● Degree in Economics/ Finance,
years experience in VC/PE/IB or a related field ● Experience in preparation of investment materials (financial
models, memos, term sheets etc
● Pipeline analysis, industry research, financial modelling ● DD coordination, portfolio management
VC & Startups, Corporate Investment Banking, Corporate Finance, Financial Modelling, Mergers And Acquisitions
Essential responsibilities: • Develop and maintain complex financial models (M&A modeling, revenue and
sales projections, market modeling, etc) • Provide financial and strategic analysis evaluating current
market sizing, players, positioning, etc) o Competitive benchmarking o Consumer research/customer analysis
Internal performance analytics • Assist in the development of high-impact presentations to senior management
and Board of Directors • Collaborate with finance, product, marketing and tech departments to gather
informatics, mathematics, physics or a comparative field • 2-3 years of professional experience in corporate finance
, management consulting, investment banking or strategic role • Passion for Internet/digital business
details and critical thinking • High proficiency with Microsoft Office products; experience building financial
models and crafting presentations • Excellent communication skills as well as fluency in English
You will be engaged in variety of Strategy and M&A projects and responsible for performing financial
analysis; assisting with industry, competitor, and customer research; creating analytical and reporting
materials for senior management and Board of Directors.
Corporate Investment Banking, Macroeconomics, Macroeconomic Forecasting, Macroeconomic Analysis
top tier educational institution • 1-2 year work experience in the field of macroeconomics and / or financial
markets • knowledge of econometrics, skills in modeling economic processes using econometric packages
CIB Research Group provides investment and market insights based on all-round in-depth fundamental analysis
Responsibilities • Work as part of a macro research team with focus on macro forecasting and developing models
• Perform dedicated analysis with focus on macro and financial sector trends • Perform research on
Conduct selected thematic and sectoral studies from the macro view • Build scenario and stress-test analysis
Investment Advisory, Financial Modelling, Mergers And Acquisitions (M&A), Due Diligence, Investment Analysis
, Investment Consulting, Data Presentation, Financial Modeling
● Min 3-year experience in investment banking / private equity / corporate finance ● Relevant transaction
management experience across sectors ● Degree in Economics or Quantitative discipline, post graduate
degree preferred ● Strong corporate finance knowledge ● Fluent English ● Excellent quantitative and
&A, capital markets, corporate advisory and transaction support including valuation, due diligence, financial
modelling, drafting of investor presentations and memorandums, etc ● Pursuing and closing transaction
Crypto & blockchain, VC & Startups, Corporate Finance, Mergers And Acquisitions (M&A), Private Equity
, Venture Capital, Investment Banking, Investment Fund, Family Office, Financial Modeling
- Bachelor's degree or higher, finance or technical background (e.g., computer science) a plus - 1-2
Due to the small size of the team, each analyst is actively involved in the ongoing work of asset management
A potential candidate is expected to have a well-developed set of hard skills (high-level financial modeling
Risk Management, Credit Risk, ESG, Provision, Risk Assessment, Consulting, Risk Modelling, RWA, Stress
Testing, Financial Risks
- Previous experience in credit and/or ESG risk management (at least 2-3 years).
Statistics, Mathematics, Physics departments or Industrial Engineering (Master’s degree in business, finance
Our projects are mostly related to the regulatory credit risk models development and validation activities
Some of the projects might be related to the Pillar II economic capital modelling, stress testing, as
well as business modelling (Collection, EWS, Credit decision, Fraud models).
problems With offices in 152 countries and almost 328,000 people, we are among the leading professional services
individuals create the value they are looking for, by delivering quality in Assurance, Tax and Advisory services
Some facts about PwC: - In FY22, PwC firms provided services to 84% of the Global Fortune 500 companies
Risk Management (Senior) Associate / (Senior) Manager, PwC Germany
Treasury, Asset Liability Management (ALM), Open Currency Position, Banking Treasury
The successful candidate will be: • Bachelor/MA degree in finance/economics/math (HSE/NES/MSU graduates
are preferred); • have 1-2 years of experience in Finance; • experience in bank Treasury, Risk Management
Markets, Controlling is a strong advantage; • solid knowledge of banking products, balance sheet, financial
team is responsible for capital steering, optimization as well as banking book FX risk control and management
The team actively participates in strategic analysis to support ALCo /Board/ Head of Treasury decision
making on the issues related to strategic FX risk management, dividend planning and RWA optimization
Responsibilities: • contribute to strategic assessment, analysis and management of Capital by forecasting
meetings; • participation in hedging of banking book FX risk; • participation in FX PL decomposition analysis
; • participation in complex transactions analysis and structuring.
Fixed Income, Equity, Financial Markets, Financial Institution Sales, Fixed Income Sales, Equity Sales
: • Higher education; • 5+ years of experience in institutional sales; • In-depth knowledge of financial
Wealth Management, Private Banking, HNWI, Private Banking Sales
Sensitivity and Confidentiality requirement of the market Strong knowledge of Private Banking products and services
Degree Holder or equivalent, preferably in Marketing, Finance or other Business Fluent in Russian
Private Banking Manager (Erevan) Investment company Responsibilities Provide a “Wealth Management
winning prospective new customers/introducers by outlining how we work and what we can offer in terms of service
between personal and business assets Maximize client assets and revenues from its AUM (Asset Under Management
Finance, Financial Reporting, Business Modelling, Finacial Modelling, Budget Planning, Financial Models
Finance, Valuation, Financial Analytics, Business Valuation, Finacial Modelling, Financial Modeling,
Valuation And Business Modeling, Financial Models