93 Financial Modeling jobs in Ahmedabad
Financial Modeling Manager - renewables
Posted 15 days ago
Job Viewed
Job Description
Opportunity to join a global leading renewable investor and developer company as Financial Modeling Manager / Senior Financial Modeling Manager , based on experience.
Location : remote working , India
Responsible Region : Global
Job Responsibility
- Building, developing and running financial models for Solar PV and Energy Storage projects
- Evaluating RFPs to populate required and relevant assumptions and structure into the financial model used for bidding process
- Collating and coordinating inputs from various teams including Development, Project Financing, Finance (Accounting and Tax), EPC and others as required for the purposes of populating assumptions and structure in the financial model
- Supporting Development, EPC and Financing teams in running case runs and scenarios to seek optimal economic benefits and analyze key drivers
- Assisting model auditors with model audit process as and when required
- Assisting lenders with model during project finance process as and when required
- Complete ownership of financial model; supporting the bidding team on all matters related to financial modelling
- Maintain and update financial models pre and post financial close
- Prepare presentation related to the financial analysis
- Training and supervision of incoming junior modeler
- Other tasks assigned by senior executives of the company
Qualification Criteria
- A business, finance or accounting degree from a reputed institution
- A proven track record in building, developing and running project finance based financial models
- Ability to develop, run and take complete ownership of project finance based financial models independently
- Hands-on execution capability with can-do attitude and strong passion for financial modeling
- Ability to work in a team environment and engage in cross-functional collaboration
- Recognized university degree - Bachelor or above
Financial Modeling Manager - renewables
Posted 15 days ago
Job Viewed
Job Description
Opportunity to join a global leading renewable investor and developer company as Financial Modeling Manager / Senior Financial Modeling Manager , based on experience.
Location : remote working , India
Responsible Region : Global
Job Responsibility
- Building, developing and running financial models for Solar PV and Energy Storage projects
- Evaluating RFPs to populate required and relevant assumptions and structure into the financial model used for bidding process
- Collating and coordinating inputs from various teams including Development, Project Financing, Finance (Accounting and Tax), EPC and others as required for the purposes of populating assumptions and structure in the financial model
- Supporting Development, EPC and Financing teams in running case runs and scenarios to seek optimal economic benefits and analyze key drivers
- Assisting model auditors with model audit process as and when required
- Assisting lenders with model during project finance process as and when required
- Complete ownership of financial model; supporting the bidding team on all matters related to financial modelling
- Maintain and update financial models pre and post financial close
- Prepare presentation related to the financial analysis
- Training and supervision of incoming junior modeler
- Other tasks assigned by senior executives of the company
Qualification Criteria
- A business, finance or accounting degree from a reputed institution
- A proven track record in building, developing and running project finance based financial models
- Ability to develop, run and take complete ownership of project finance based financial models independently
- Hands-on execution capability with can-do attitude and strong passion for financial modeling
- Ability to work in a team environment and engage in cross-functional collaboration
- Recognized university degree - Bachelor or above
Real Estate Investment Analyst {Financial Modeling & Underwriting (U.S. Market)}
Posted today
Job Viewed
Job Description
About the Company:
Founded in 2021, our client specializes in hospitality investment and development across the U.S., focusing on drive-to destinations like national park gateway towns, beach towns, ski resorts, lake regions, and wine country. We combine strategic real estate investment, asset management, and business growth expertise to enhance profitability and guest experiences.
Role Overview
We are seeking a dynamic Commercial Real Estate Analyst with a robust accounting and finance background, including strong expertise in handling financial statements, modeling, and budgeting. Though experienced across CRE asset types (multifamily, office, industrial, retail), a candidate with hands-on experience in hospitality real estate—and a deep understanding of P&L, REVPAR, ADR, and occupancy—is highly desirable. This remote role offers significant long-term growth potential within a forward-thinking organization.
What You’ll Do
- Financial Modeling & Analysis: Build dynamic, Excel-based pro forma models; refine and improve existing models to support decision-making.
- Underwriting & Deal Assessment: Underwrite new deals across a range of CRE assets, including hospitality, ensuring strong financial validation.
- Data Analysis: Analyze rent rolls, operating memoranda, T12s, and market comps to derive meaningful insights.
- Asset Management Support: Monitor performance, compile detailed reports, and drive asset management strategies across various portfolio types.
- Investor Communications: Prepare investment memos, investor updates, and performance dashboards using strong written English to ensure clarity and transparency.
- Strategic Insights: Support acquisition, development, and asset management initiatives, contributing to the company’s long-term growth strategy.
What we’re looking for
- Experience: 3 – 5 years in CRE underwriting/investment analysis (preferably in the Hospitality sector) , supported by a strong accounting and finance foundation (three financial statements, financial modeling, budgeting).
- Hospitality Expertise: Prior experience in hospitality real estate with a clear grasp of key metrics (P&L, REVPAR, ADR, occupancy).
- Asset Management: Proven ability in monitoring asset performance and compiling reports that drive strategic decisions.
- Communication Skills: Exceptional written English skills for crafting nuanced, investor-focused updates and communications.
- Proactivity & Innovation: Demonstrated ability to underwrite deals, enhance existing financial models, and adapt strategies for evolving market conditions.
- Long-term Vision: A commitment to personal and professional growth within a rapidly expanding company.
Bonus: Familiarity with ARGUS, REFM, is an advantage.
Real Estate Investment Analyst {Financial Modeling & Underwriting (U.S. Market)}
Posted today
Job Viewed
Job Description
About the Company:
Founded in 2021, our client specializes in hospitality investment and development across the U.S., focusing on drive-to destinations like national park gateway towns, beach towns, ski resorts, lake regions, and wine country. We combine strategic real estate investment, asset management, and business growth expertise to enhance profitability and guest experiences.
Role Overview
We are seeking a dynamic Commercial Real Estate Analyst with a robust accounting and finance background, including strong expertise in handling financial statements, modeling, and budgeting. Though experienced across CRE asset types (multifamily, office, industrial, retail), a candidate with hands-on experience in hospitality real estate—and a deep understanding of P&L, REVPAR, ADR, and occupancy—is highly desirable. This remote role offers significant long-term growth potential within a forward-thinking organization.
What You’ll Do
- Financial Modeling & Analysis: Build dynamic, Excel-based pro forma models; refine and improve existing models to support decision-making.
- Underwriting & Deal Assessment: Underwrite new deals across a range of CRE assets, including hospitality, ensuring strong financial validation.
- Data Analysis: Analyze rent rolls, operating memoranda, T12s, and market comps to derive meaningful insights.
- Asset Management Support: Monitor performance, compile detailed reports, and drive asset management strategies across various portfolio types.
- Investor Communications: Prepare investment memos, investor updates, and performance dashboards using strong written English to ensure clarity and transparency.
- Strategic Insights: Support acquisition, development, and asset management initiatives, contributing to the company’s long-term growth strategy.
What we’re looking for
- Experience: 3 – 5 years in CRE underwriting/investment analysis (preferably in the Hospitality sector) , supported by a strong accounting and finance foundation (three financial statements, financial modeling, budgeting).
- Hospitality Expertise: Prior experience in hospitality real estate with a clear grasp of key metrics (P&L, REVPAR, ADR, occupancy).
- Asset Management: Proven ability in monitoring asset performance and compiling reports that drive strategic decisions.
- Communication Skills: Exceptional written English skills for crafting nuanced, investor-focused updates and communications.
- Proactivity & Innovation: Demonstrated ability to underwrite deals, enhance existing financial models, and adapt strategies for evolving market conditions.
- Long-term Vision: A commitment to personal and professional growth within a rapidly expanding company.
Bonus: Familiarity with ARGUS, REFM, is an advantage.
Real Estate Investment Analyst {Financial Modeling & Underwriting (U.S. Market)}
Posted today
Job Viewed
Job Description
About the Company:
Founded in 2021, our client specializes in hospitality investment and development across the U.S., focusing on drive-to destinations like national park gateway towns, beach towns, ski resorts, lake regions, and wine country. We combine strategic real estate investment, asset management, and business growth expertise to enhance profitability and guest experiences.
Role Overview
We are seeking a dynamic Commercial Real Estate Analyst with a robust accounting and finance background, including strong expertise in handling financial statements, modeling, and budgeting. Though experienced across CRE asset types (multifamily, office, industrial, retail), a candidate with hands-on experience in hospitality real estate—and a deep understanding of P&L, REVPAR, ADR, and occupancy—is highly desirable. This remote role offers significant long-term growth potential within a forward-thinking organization.
What You’ll Do
- Financial Modeling & Analysis: Build dynamic, Excel-based pro forma models; refine and improve existing models to support decision-making.
- Underwriting & Deal Assessment: Underwrite new deals across a range of CRE assets, including hospitality, ensuring strong financial validation.
- Data Analysis: Analyze rent rolls, operating memoranda, T12s, and market comps to derive meaningful insights.
- Asset Management Support: Monitor performance, compile detailed reports, and drive asset management strategies across various portfolio types.
- Investor Communications: Prepare investment memos, investor updates, and performance dashboards using strong written English to ensure clarity and transparency.
- Strategic Insights: Support acquisition, development, and asset management initiatives, contributing to the company’s long-term growth strategy.
What we’re looking for
- Experience: 3 – 5 years in CRE underwriting/investment analysis (preferably in the Hospitality sector) , supported by a strong accounting and finance foundation (three financial statements, financial modeling, budgeting).
- Hospitality Expertise: Prior experience in hospitality real estate with a clear grasp of key metrics (P&L, REVPAR, ADR, occupancy).
- Asset Management: Proven ability in monitoring asset performance and compiling reports that drive strategic decisions.
- Communication Skills: Exceptional written English skills for crafting nuanced, investor-focused updates and communications.
- Proactivity & Innovation: Demonstrated ability to underwrite deals, enhance existing financial models, and adapt strategies for evolving market conditions.
- Long-term Vision: A commitment to personal and professional growth within a rapidly expanding company.
Bonus: Familiarity with ARGUS, REFM, is an advantage.
Real Estate Investment Analyst {Financial Modeling & Underwriting (U.S. Market)}
Posted today
Job Viewed
Job Description
About the Company:
Founded in 2021, our client specializes in hospitality investment and development across the U.S., focusing on drive-to destinations like national park gateway towns, beach towns, ski resorts, lake regions, and wine country. We combine strategic real estate investment, asset management, and business growth expertise to enhance profitability and guest experiences.
Role Overview
We are seeking a dynamic Commercial Real Estate Analyst with a robust accounting and finance background, including strong expertise in handling financial statements, modeling, and budgeting. Though experienced across CRE asset types (multifamily, office, industrial, retail), a candidate with hands-on experience in hospitality real estate—and a deep understanding of P&L, REVPAR, ADR, and occupancy—is highly desirable. This remote role offers significant long-term growth potential within a forward-thinking organization.
What You’ll Do
- Financial Modeling & Analysis: Build dynamic, Excel-based pro forma models; refine and improve existing models to support decision-making.
- Underwriting & Deal Assessment: Underwrite new deals across a range of CRE assets, including hospitality, ensuring strong financial validation.
- Data Analysis: Analyze rent rolls, operating memoranda, T12s, and market comps to derive meaningful insights.
- Asset Management Support: Monitor performance, compile detailed reports, and drive asset management strategies across various portfolio types.
- Investor Communications: Prepare investment memos, investor updates, and performance dashboards using strong written English to ensure clarity and transparency.
- Strategic Insights: Support acquisition, development, and asset management initiatives, contributing to the company’s long-term growth strategy.
What we’re looking for
- Experience: 3 – 5 years in CRE underwriting/investment analysis (preferably in the Hospitality sector) , supported by a strong accounting and finance foundation (three financial statements, financial modeling, budgeting).
- Hospitality Expertise: Prior experience in hospitality real estate with a clear grasp of key metrics (P&L, REVPAR, ADR, occupancy).
- Asset Management: Proven ability in monitoring asset performance and compiling reports that drive strategic decisions.
- Communication Skills: Exceptional written English skills for crafting nuanced, investor-focused updates and communications.
- Proactivity & Innovation: Demonstrated ability to underwrite deals, enhance existing financial models, and adapt strategies for evolving market conditions.
- Long-term Vision: A commitment to personal and professional growth within a rapidly expanding company.
Bonus: Familiarity with ARGUS, REFM, is an advantage.
Senior Quantitative Analyst - Financial Risk Modeling
Posted 1 day ago
Job Viewed
Job Description
Responsibilities:
- Develop, validate, and implement quantitative models for market risk, credit risk, counterparty risk, and operational risk.
- Conduct rigorous back-testing and stress-testing of models to ensure their accuracy and robustness.
- Analyze large datasets to identify trends, patterns, and potential risk exposures.
- Collaborate with business units to understand their risk management needs and provide quantitative support.
- Develop and maintain documentation for all models, methodologies, and validation processes.
- Stay abreast of regulatory changes and industry best practices in risk management and quantitative finance.
- Communicate complex quantitative findings to both technical and non-technical audiences, including senior management.
- Design and implement scenario analysis and sensitivity testing frameworks.
- Contribute to the development of risk appetite frameworks and key risk indicators.
- Work effectively in a remote environment, leveraging technology for collaboration and communication with global teams.
- Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Economics, Financial Engineering, or a related discipline.
- 5+ years of experience in quantitative analysis, risk management, or financial modeling within the financial services industry.
- Strong knowledge of financial instruments, markets, and relevant regulatory frameworks (e.g., Basel III, FRTB).
- Expertise in statistical modeling, econometrics, time series analysis, and probability theory.
- Proficiency in programming languages such as Python, R, C++, or Java, and experience with financial libraries.
- Familiarity with data manipulation and database technologies (e.g., SQL).
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Proven ability to work independently, manage multiple priorities, and deliver results in a remote setting.
- A proactive and diligent approach to risk management and quantitative research.
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Financial Analyst
Posted 4 days ago
Job Viewed
Job Description
Key Responsibilities:
- Develop and analyze financial models to support forecasting, budgeting, and strategic planning.
- Prepare monthly, quarterly, and annual financial reports, including variance analysis and key performance indicators (KPIs).
- Conduct market research and competitive analysis to identify financial opportunities and risks.
- Assist in the preparation of presentations for senior management and stakeholders.
- Monitor financial performance against budget and identify areas for cost savings or revenue enhancement.
- Perform ad-hoc financial analysis as required by management.
- Collaborate with various departments to gather financial data and ensure accuracy.
- Develop and maintain strong relationships with internal clients.
- Stay updated on accounting standards, financial regulations, and industry best practices.
- Contribute to the improvement of financial processes and systems.
- Analyze investment opportunities and evaluate their financial viability.
- Bachelor's degree in Finance, Accounting, Economics, or a related field. A Master's degree or professional certification (CFA, CPA) is a plus.
- Minimum of 3 years of experience in financial analysis, corporate finance, or a related field.
- Proficiency in financial modeling, forecasting, and valuation techniques.
- Strong analytical and problem-solving skills with high attention to detail.
- Expertise in Microsoft Excel, including advanced formulas, pivot tables, and VBA.
- Familiarity with financial software and ERP systems (e.g., SAP, Oracle).
- Excellent written and verbal communication skills.
- Ability to manage multiple projects and meet deadlines in a hybrid work environment.
- Strong understanding of accounting principles and financial statements.
- Ability to work both independently and collaboratively within a team.
Financial Analyst
Posted 6 days ago
Job Viewed
Job Description
Financial Analyst
Posted 6 days ago
Job Viewed
Job Description
Responsibilities:
- Perform financial analysis, including forecasting, budgeting, and variance analysis.
- Develop and maintain financial models.
- Prepare regular financial reports and presentations.
- Analyze financial data to identify trends and opportunities.
- Provide financial insights and recommendations to management.
- Support strategic planning and decision-making processes.
- Monitor key financial metrics and KPIs.
- Ensure accuracy and integrity of financial data.
- Collaborate with cross-functional teams on financial matters.
- Stay updated on industry financial trends and best practices.
Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- 3-5 years of experience in financial analysis or a related role.
- Strong understanding of financial principles and accounting.
- Proficiency in Microsoft Excel, financial modeling, and data analysis tools.
- Excellent analytical and problem-solving skills.
- Strong communication and presentation skills.
- Ability to work independently and manage time effectively.
- Experience with financial software is a plus.