Start Date
Immediate
Expiry Date
29 Nov, 26
Salary
0.0
Posted On
31 Aug, 26
Experience
0 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
Yes
Skills
Industry
Financial Services & Insurance
We are looking for a highly capable Senior Financial Modelling & Investment Analyst to join our team in Dubai.
This is not a junior financial analyst position. We are looking for someone with substantial hands-on experience building sophisticated financial models, working with large datasets, researching commercial and financial assumptions, and translating complex business opportunities into clear investment and financial analysis.
The successful candidate will work closely with senior management on investments, infrastructure projects, commercial transactions and strategic opportunities.
Key Responsibilities
Build detailed financial models from scratch, including integrated P&L, cash flow and balance sheet models.
Develop project finance, investment return, valuation and scenario models.
Perform sensitivity, downside, break-even and return analysis including IRR, NPV, ROIC and cash-on-cash returns.
Analyse capital expenditure, operating expenditure, financing structures and long-term commercial contracts.
Research market data, industry benchmarks, pricing, costs and other inputs required to support financial assumptions.
Independently validate assumptions rather than simply relying on information provided by others.
Analyse large datasets and identify inconsistencies, risks and key financial drivers.
Build clear scenario and sensitivity analysis for management decision-making.
Review and audit existing financial models and identify formula, logic or assumption errors.
Prepare concise financial and investment analysis for senior management.
Work directly with commercial, technical, legal and management teams to understand transactions and incorporate their assumptions into financial models.
Be comfortable working on multiple transactions and projects simultaneously, often under tight deadlines.
Required Experience:
Minimum 5–7 years of relevant professional experience in financial modelling, investment analysis, project finance, corporate finance, private equity, investment banking, infrastructure or a comparable analytical role.
Demonstrable experience building complex financial models from scratch, not simply updating existing templates.
Expert-level Microsoft Excel skills, including advanced formulas, scenario analysis, data manipulation and model architecture.
Very strong mathematical and quantitative abilities.
Strong understanding of accounting, corporate finance and financial statements.
Ability to conduct independent commercial and financial research and convert research into defensible modelling assumptions.
Strong attention to detail and ability to identify numerical or logical inconsistencies.
Ability to explain complex financial analysis clearly to senior decision-makers.
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