A private equity firm is hiring an Investment Associate based in Ras Al Khaimah, UAE. The role spans two core areas: optimising the performance of the existing portfolio and evaluating new investment opportunities. The Associate will work closely with Investment Directors and VPs on analytical workstreams across M&A transactions, performance improvement initiatives, and investment committee processes.
Key Responsibilities
Portfolio Management
Conduct industry and company research to support portfolio reviews and investment committee submissions.
Build and maintain financial models, projections, and valuations for M&A transactions.
Monitor and follow up on commercial and financial due diligence carried out by third-party advisors.
Develop the analytical basis for performance improvement initiatives and support VPs and Directors in tracking implementation and impact.
Interface with portfolio company management teams and external advisors.
New Investments
Perform in-house due diligence research covering industry dynamics and target company analysis.
Develop financial models and valuations for prospective M&A transactions.
Coordinate with third-party advisors on commercial and financial due diligence workstreams.
Work with the broader investment team to assess opportunities against economic objectives including infrastructure development, job creation, and GDP contribution.
Rating Support
Provide periodic analytical support and commentary on government financial performance for the Rating department.
Address rating agency queries accurately and in a timely manner, preparing all required supporting materials for submission.
Reporting & General
Collate, consolidate, and submit management and operational information from portfolio companies in line with specified reporting templates.
Respond to formal, informal, and ad-hoc information requests as required.
Contribute to the preparation and presentation of Investment Committee and Portfolio Review Committee documents.
Skills & Experience
Bachelor's degree in Finance or a related discipline.
CFA designation or MBA from a recognised institution is an advantage.
3–6 years of M&A experience gained within a reputable investment bank or private equity firm.
Proven ability to build financial models and lead end-to-end analytical workstreams covering industry dynamics and company performance.
Strong comfort with quantitative analysis, handling large datasets, and producing high-quality presentation materials.
About Senna
Senna is a careers platform focused on career guidance, planning, and stronger positioning for finance candidates. The platform helps professionals refine their profile, strengthen their CV and resume, and present their experience more clearly so they stand out more effectively in the MENA finance market. For more information, visit joinsenna.com.
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