Deal Execution Analyst – Secondary Markets
Job Description:
• Build and maintain financial models for secondary-market transactions, including cash-flow modeling, scenario analysis, and cap-table structures
• Perform valuation analysis and support pricing across private equity, private credit, and alternative assets
• Prepare internal investment memos, diligence summaries, presentations, and IC materials
• Review and analyze transaction documentation from sellers, buyers, fund administrators, and custodians
• Research asset characteristics, performance histories, and market comparables
• Support portfolio analytics, benchmarking, and risk assessment
• Build and maintain trackers, templates, and structured workflows
• Maintain data integrity across CRM systems, deal rooms, and internal tools
• Liaise with payments, KYC/AML, compliance, and operational teams to ensure smooth transaction progression
• Work closely with US and UK deal teams across time zones
• Prepare high-quality summaries and execution materials to support timely decision-making
Requirements:
• 3–7 years’ experience in investment banking, Big 4 Transaction Services, Deals, Valuations, or Financial Due Diligence
• Strong financial modeling and Excel skills
• Familiarity with secondary markets, equity instruments, or private capital
• Experience preparing investment memos and diligence materials
• High ownership, attention to detail, and comfort with ambiguity
• Strong written and verbal communication skills
Benefits:
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