Role Responsibilities:
- Participate in financial due diligence assignments in the context of buy- and sell-side M&A transactions, servicing both corporate and private equity clients.
- Add value to the targeted transaction by transforming key findings into price adjustments and proposed warranties;
- Analyze and present financial information (i.e. Income, Balance sheet and Cash flow statements), as well as underlying key performance drivers.
- Assess key valuation metrics used to bridge Enterprise and Equity value by analyzing underlying EBITDA, working capital requirements and net (financial) debt.
- Provide insight on other (non-) financial risks and opportunities specific to the business and relevant to consider in a transaction context.
- Conducting M&A and IPO engagements
- Reviewing financial information of the client/ target
- Adding or forming financial, commercial, and business views to help the target, client and investors in their decision making