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Corporate Finance Analyst – Interim (3‑6 months)

Cedar · London

Contract 🇬🇧 English
Excel

Job description

About the role

This interim position supports a private‑equity‑backed technology and infrastructure business in London. Over a 3‑6 month period you will work within the Corporate Finance team, delivering high‑impact financial models that inform acquisitions, financing decisions and long‑range planning.

Key responsibilities

  • Build and maintain complex Excel‑based transaction, three‑statement and long‑range planning models.
  • Update the long‑range model with actuals, budgets and forecasts, improving flexibility for acquisition scenarios.
  • Conduct detailed financial analysis on inorganic and strategic opportunities, including valuation, funding structures, leverage and covenant headroom.
  • Perform scenario and sensitivity analysis to assess the impact of acquisitions, refinancing and capital‑structure changes on cash flow and returns.
  • Produce clear, decision‑ready model outputs with charts, commentary and robust documentation.
  • Support M&A and corporate development projects through structured financial analysis and deal‑structuring.
  • Collaborate closely with the Corporate Finance leadership team on ad‑hoc modelling requests.

Required profile

  • Strong competence in Excel‑based financial modelling.
  • Solid understanding of financing, capital structures and valuation techniques.
  • Experience delivering models that support acquisitions and corporate development.

Required skills

  • Excel

What we offer

  • Competitive day rate of £550‑£600.
  • Exposure to high‑impact corporate finance work in a dynamic, transaction‑focused environment.

Questions fréquentes

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Le contrat proposé est un Contract basé à London.

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Published 2 months ago

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Cedar

London