Corporate Finance Job Description
Corporate Finance Duties & Responsibilities
To write an effective corporate finance job description, begin by listing detailed duties, responsibilities and expectations. We have included corporate finance job description templates that you can modify and use.
Sample responsibilities for this position include:
Corporate Finance Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Corporate Finance
List any licenses or certifications required by the position: CPA, CFA, CSA, SOX, GLRS
Education for Corporate Finance
Typically a job would require a certain level of education.
Employers hiring for the corporate finance job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and Master's Degree in Finance, Accounting, Economics, Management, Business, Business/Administration, MBA, Education, Graduate, Performance
Skills for Corporate Finance
Desired skills for corporate finance include:
Desired experience for corporate finance includes:
Corporate Finance Examples
Corporate Finance Job Description
- Develops financial models demonstrate impact of business on the economics of the operating and Capability Groups
- Performs appropriate finance due diligence exercises to ensure viability and "fit" and co-ordinate across multi-disciplined work streams for other areas of due diligence
- Develops evaluation criteria to target and assess potential acquisitions and mergers
- Supports negotiation of key transaction documents
- Prepares reports for senior executive team and Board review
- Supports the development and program management of post-merger integration activities
- Implement financial analysis processes, models, and performance measurements in relation to financial due diligence required to support potential acquisitions, partnerships and/or other strategic initiatives
- Become expert in the business strategy, competition, and business model of the various Business Units
- Proactively analyzing and correlating available and disparate information/data to identify key drivers and potential actions
- Consolidating, updating, and creating new metrics and statistics to monitor the drivers of revenue growth and profit improvement
- Assist in the preparation and presentation of internal presentations/ training courses
- Prepare and research business proposals to potential new clients
- Attention details, accuracy, control mindset
- Enthusiasm to learn new things
- 6-8+ year's relevant experience, preferably in capital budgeting, budgeting or accounting
- MBA / equivalent degree or working toward MBA
Corporate Finance Job Description
- Performing special projects that may arise in a typical corporate finance organization
- Provide financial planning and analysis support
- Provide financial planning and analysis support to Corporate budget holders
- Ownership of the monthly close process for the US Corporate ledger
- Review monthly journal entries (accruals, reclasses, reevaluations) to facilitate the monthly financial closing for the US Corporate ledger
- Lead project teams for the negotiation and update of external funding facilities and other documentation (for example, 364-day and 5-year bank facilities
- Ensure compliance with relevant policies, processes, procedures or regulations
- Partners with Jurisdiction Finance and the business to develop operating expenses, establish revenue, net margin and forecasts
- Working in the Corporate Accounting Function, broadly this role would involve the following
- Responsible for the Consolidation of Accounts of the various subsidiaries
- Progress towards CPA, CFA, or other financial certifications is a plus
- At the Director level you will act as deal champion and be primarily responsible for originating advisory mandates across a range of sectors
- Assist in the management of the Revenue system (BPS) for global forecasters
- Review and challenge various business function’s bottom up forecasts and budgets underlying assumptions
- Qualified ACA or ACCA Accountant
- Excellent Interpersonal skills and ability to develop relationships quickly
Corporate Finance Job Description
- Interact with the auditors & consultants of the parent company and various subsidiaries across the globe
- Keep updated on the latest accounting and other reporting requirements so that the Company is in compliance
- This role is also expected to play a part in compliance with RBI regulations with respect to ODI and subsidiary reporting
- Required to play a part in the effective foreign exchange risk management of the Company
- Evaluating and managing the capital structure to support long-term growth of the business
- Assist with, and may lead aspects of, the forecasting process through the year, clearly explaining changes vs
- Develop and maintain a financial management system that effectively monitors actual results vs
- Constantly drive for improved visibility into the financial performance via insightful management reporting and analysis
- Analyze monthly results regarding performance vs budget, forecast, and prior periods
- Prepare and record monthly expense accruals (T&E, Audit & tax, various other expenses)
- Bachelor degree of Accounting, finance or related background
- At least 5 years solid experience in Financial Reporting or FP&A functions
- CMA, CPA or ACCA preferred
- Knowledgeable in PRC business, exposure in utility/infrastructure industry is highly preferred
- Serve as the Finance Department’s expert for the accounting and reporting functions in accordance with U.S. GAAP related to Fixed Assets and Newsprint Inventory
- Supervise, train, and review the work of two direct reports who are responsible for the day to day accounting for Newsprint Inventory, digital and revenue recognition and various other general ledger activities including journal entry preparation, account reconciliations and analyses
Corporate Finance Job Description
- Prepare intercompany invoices
- Prepare balance sheet and profit & loss trend along with variance analysis
- Liaise with local controllers and external stakeholders
- Financial modeling in support of business development activities within the company
- Supporting M&A activities including financial modeling, due diligence efforts, interacting with various consultants and other disciplines and/or team members
- Providing support in execution of corporate and project financing transactions
- Assisting in preparation of presentations for senior management, the Board of Directors, development teams and/or clients
- Rotational program through Investor Relations working with the Vice President of Investor Relations interfacing with investors, sell-side equity analysts and interacting regularly with senior management
- Maintaining the company’s long-term consolidated financial projections
- Performing research in support of strategic planning initiatives
- As required assist in researching and analyzing the accounting treatment on various transactions and new contractual arrangements
- Supporting ad hoc financial information requests and analysis
- Currently pursuing an MBA with a minimum of 1 year prior experience in investment banking OR Minimum of 4 years’ experience at bulge bracket or reputable boutique or regional investment bank with demonstrable M&A execution experience
- At least 3 years previous finance experience or related field
- Demonstrated strong quantitative and modeling skills
- Strong capability and comfort in working as part of a team
Corporate Finance Job Description
- Ensure that all invoices from suppliers are fully accounted for, authorized, scanned timely and accurately by daily processing of invoices and producing up to date print out of invoices received and processed
- Ensure that payment listing for supplier’s invoices and matching them with supporting documents such as purchase order, receiving sheet, supplier’s tax invoices as per Service Level Agreement with supplier
- Ensure tax compliance adhered to within the specifies timelines of the revenue authority
- Make regular reviews of supplier’s accounts in the accounts payable module and ensure that unmatched invoices and payments are followed up and resolved timely
- Reconcile accounts payable module and stocks to the general ledger at the end of each month and resolve reconciling items timely
- Prepare Value Aadded Tax (VAT) 100 return at the end of the month and ensure the VAT due are paid on the 16st of each month as required by law
- Maintain Account Payable Ledger and ensure timely and accurate processing of transactions and reconciliations
- Processing of monthly journals so as to report our financials as per stipulated Company policy
- Maintain foreign payments ledger (Intercompany Vendors)
- Handling external stakeholder’s issues such ZRA, Banks and regulatory authorities such as the Luse,Securitirs and Exchange Commission e.t.c
- Leadership experience driving positive morale and productivity through demonstrated keymanagement skills
- MBA and/or CPA experience a plus
- Experience with Tableau and/or Lumira Software applications a plus
- Track record of staff development as part of people management experience
- 2+ years of work experience in financial, analytical, and/or problem-solving roles
- Strong financial analytical skills (modeling), problem solving capabilities, sound knowledge of accounting and financial reporting