The Company
Our client is a pan-European real estate investment and development company specializing in the hotel and coliving sectors, supported by top-tier investors.
The Role
The company is looking for a strong corporate finance professional having 2 to 4 years of experience that can:
- Translate strategy into financials, as well as financials into strategy, driving growth acceleration strategies across the portfolio
- Take a clinical view on both equity and debt related topics related to the financial position of the company. On the debt side you will also play an active role in the sourcing of new and refinancing of existing debt
You will be based at their Office in Amsterdam where you’ll join the Corporate Finance team. You will report to the Senior Manager Corporate Finance, while working closely together with the Director of Capital Markets and other various senior leaders, including the CFO.
Responsibilities:
- Actively contribute to managing all investor relations, comprising of strategic scenario analysis, tracking portfolio investment returns and ad-hoc & regular reporting
- Partake in the sourcing of new debt / potential refinancing(s) and restructuring / waiver discussions in close collaboration with the Director of Capital Markets
- You will be the gatekeeper of financial information to communicate with the shareholders, (prospective) lenders and other external stakeholders
- Contributing to the group cash forecasting and equity planning. Comprising of both short-term cash forecasting as well as indirect long-term strategic cash/equity planning on Group level
- Perform ad-hoc financial analyses for various teams and senior leadership for decision making purposes and performance related insights. Getting exposure to both internal finance teams (e.g. investment, banking), as well as external investors.
Background:
- 2-4 years of relevant experience on the advisory side (M&A / restructuring / transaction services) within finance / strategy / transaction related roles
- Multi-tasker, problem solving mindset with a can-do attitude and ability to work with deadlines and little supervision
- You thrive in a fast-paced, rapidly changing, and international environment with various learning opportunities
- You have advanced skills in Excel and data analytics. With experience in building and maintaining (complex) financial models
- Strong verbal & written communication skills, organizational skills and attention to detail
- Fluency in English is essential, other languages are a strong advantage
- Experience in real estate and hospitality is a plus