Assist in updating monthly / quarter valuation models, including Discounted Cash Flow (DCF), Performance Multiple (PM) and other valuation methodologies
Compile and maintain supporting documentation for financial assumptions, company comparables and key valuation inputs used in valuation analyses
Update models to reflect actual business performance and perform variance analysis against expected performance
Collaborate with various stakeholders, including Deal Analysts, Investor Relations, Senior Management, and Internal and External Audit teams, to provide analysis and deliverables
Analyze value creation drivers and access factors contributing to valuation changes throughout the holding period of investments
Support the enhancement of reporting processes, analytical frameworks and operational procedures to improve efficiency and insights