Financial Modelling Specialist
Gratia · Chicago, IL · 4 mo ago
RemoteRemoteFinanceContract
What You’ll Be Doing
- Model building: Build and scale driver-based 3-statement models (P&L, Balance Sheet, Cash Flow) and multi-year projections.
- Valuation analysis: Perform company and asset valuations using DCF frameworks, comparable company analysis, and precedent transactions.
- Scenario & risk testing: Design "what-if" frameworks and sensitivity analysis to quantify risk and upside for stakeholders.
- Data-driven analysis: Use financial math and modelling techniques to provide technical clarity for market entry, operations, or fundraising.
- Deliverable ownership: Ensure every cell is accurate, logic is transparent, and every visual output is clear for the end-user.
What We’re Looking For
- Professional experience in financial modelling, typically gained within investment banking, private equity, or corporate finance environments.
- Experience from MBB (McKinsey, Bain, BCG), Big 4, or another recognized firm is a plus.
- Comfort with 3-statement integration, DCF valuations, and data tables.
- Senior-level candidates should demonstrate mastery of complex risk-quantification and advanced simulations.
- The ability to transform messy, raw data into structured and logical business solutions.
- You thrive when given a spec and expected to deliver a production-ready model with minimal oversight.
- Exceptional communication skills; you must be able to document your assumptions and explain your model logic clearly.
Range of Deliverables
- Junior: Budget templates, revenue/cost projections, and variance analysis.
- Intermediate: Fully integrated 3-statement models and scenario dashboards.
- Advanced: Complex LBO/M&A models and risk-quantification simulations.