36 Investment Banking jobs in Chennai
Corporate Finance Analyst
Posted 3 days ago
Job Viewed
Job Description
About the job
Corporate Finance Analyst
Modulus Housing Chennai, Tamil Nadu, India (On-site)
Analyst – Corporate Finance | Modulus Housing | Chennai
Where Insight Meets Foresight – Ready to Turn What-Ifs Into What’s Next?
At Modulus Housing, we’re not just building structures — we’re reimagining how infrastructure is created, delivered, and scaled. Incubated at IIT Madras Research Park and powered by our first institutional equity round, we’ve executed ₹200+ Cr worth of modular construction projects across 21 Indian states and 4 African districts, delivering 2,000+ modular buildings and impacting 20+ million lives.
Our mission is bold: to make buildings like automobiles — industrialised, standardised, and ready in 60 days. With patented prefab and pre-engineered technologies, we’re proving that speed, scale, and sustainability can go hand in hand.
Now, we’re seeking an Analyst – Corporate Finance who can look beyond numbers — someone who can connect insights to strategy and help steer our next phase of growth.
What You’ll Do
You’ll play a key role in translating data into direction and insights into foresight.
Your day-to-day will include:
- Strategic Financial Analysis: Build and maintain financial models, forecasts, and scenario analyses that inform key business and investment decisions.
- Performance Insights: Analyse P&L, balance sheet, and cash flow trends to identify opportunities for cost optimisation, efficiency, and growth.
- Reporting & Presentations: Prepare structured reports and dashboards that turn complex data into clear narratives for the leadership team.
- Capital & Transaction Support: Assist in managing debt/equity instruments, banking relationships, forex exposure, and financial documentation.
- Process & Systems Development: Strengthen internal financial controls, streamline processes, and support ERP and automation initiatives.
- Research & Market Analysis: Track industry and macroeconomic trends, regulatory developments, and benchmarking data to support strategic planning.
- Cross-Functional Collaboration: Work with operations, supply chain, and business development teams to align financial insights with operational realities.
What You’ll Bring
We’re looking for someone who’s analytical, proactive, and curious — someone who thrives at the intersection of finance and strategy.
- Experience: 4+ years in corporate finance, consulting, investment banking, or financial advisory roles.
- Expertise: Strong financial modelling, forecasting, and analytical skills; ability to distil insights from complex data.
- Knowledge Base: Solid understanding of accounting, taxation, and compliance fundamentals; exposure to capital instruments, banking/NBFC processes, and forex transactions.
- Tools: Proficiency in Excel, Google Suite, Microsoft Office, and ERP systems; interest in automation and AI-driven financial tools.
- Soft Skills: Excellent communication and presentation skills in English and Hindi; ability to translate financial data into strategic insight.
- Mindset: Ownership-driven, adaptable, and detail-oriented professional who values clarity, accountability, and long-term growth.
- Location: Willingness to work from Chennai and travel occasionally for business needs.
Why Modulus?
Because finance here isn’t a back-office function — it’s the catalyst for scale and innovation.
At Modulus, your work will be visible, valued, and deeply impactful. You’ll learn fast, work closely with senior leadership, and contribute to systems that outlast you. Every model you build and every report you design will help shape the company’s trajectory.
Location: Chennai
Type: Full-Time
Compensation: Negotiable based on experience and qualifications
If this opportunity excites you, please share your resume along with a brief note on why this role interests you at & You may also use this form for convenience:
Modulus Housing – Where Finance Fuels Momentum and Insight Drives Impact.
Corporate Finance Specialist
Posted 3 days ago
Job Viewed
Job Description
About Vivriti Group:
Vivriti Group is a pioneer in the Mid-Market Lending space providing tailored debt solutions to mid-sized entities. The group has the following businesses:
- Vivriti Capital Limited, a systematically important NBFC (NBFC ND-SI) regulated by RBI. As on date, Vivriti Capital has disbursed USD 3 billion across 300+ enterprise borrowers and is rated A+ by CRISIL.
- Vivriti Asset Management, subsidiary of Vivriti Capital, is a fund manager to fixed income alternate investment funds (AIFs). As on date, Vivriti Asset Management has across funds, raised commitments of over USD 500 million from 900+ Institutional and private contributors. Vivriti AMC has also made investments of over USD 575 million across 80+ entities.
Role Overview
We are looking for a proactive and detail-oriented Corporate Finance Manager to manage the finance function of a holding company , which has operations in leasing, asset development and other associated revenue streams . The role involves end-to-end ownership of finance , including accounting, compliance, reporting, and treasury functions. The candidate will also be responsible for the finance function of one subsidiary and manage a small team.
Key Responsibilities
1. Finance & Accounting
- Manage day-to-day accounting for all revenue streams.
- Ensure accurate revenue recognition in line with applicable standards (e.g., IND-AS).
- Handle billing cycles, rent collection, and invoicing for software and lease-related operations.
- Maintain books of accounts and ensure monthly closure with proper reconciliations and schedules.
- Manage fixed assets, intercompany transactions, and expense allocations.
2. Group level
- Take ownership of the subsidiary’s accounts and coordinate with local finance team.
- Consolidate financials at group level (standalone and consolidated view).
- Monitor cash flows, budgeting, and compliance for the subsidiary.
3. Compliance & Statutory Requirements
- Ensure timely filing of GST, TDS, income tax, and other statutory returns.
- Coordinate with auditors for statutory, tax, and internal audits.
- Ensure compliance with ROC filings and regulatory obligations.
4. Treasury & Cash Flow Management
- Manage bank relationships, track fund flows across entities, and optimize working capital.
- Prepare cash flow forecasts and monitor liquidity at entity and group level.
5. MIS & Reporting
- Prepare monthly MIS, variance analysis, and dashboards for management review.
- Support budgeting, forecasting, and business performance analysis.
6. Team Management
- Supervise and guide a small team for transactional activities.
- Delegate tasks effectively and ensure timely delivery of outputs.
Qualifications
- CA with 1–2 years of experience.
- Experience in corporate finance, accounting, and compliance within a group structure or auditing the same.
Key Skills
- Strong understanding of IND-AS.
- Working knowledge of lease accounting, revenue accounting, and intercompany reconciliations.
- Proficient in MS Excel, Tally/ERP systems; experience with automation tools is a plus.
- Ability to manage multiple stakeholders and balance holding and subsidiary priorities.
- Hands-on, detail-oriented, and capable of independently managing end-to-end finance.
Preferred Experience
- Prior experience in a holding company or group entity with multiple business lines or auditing the same.
- Experience in leading small teams.
Senior Finance Manager Corporate & Business Finance
Posted 3 days ago
Job Viewed
Job Description
Job Description
Amura’s Vision
We believe that the most under-appreciated route to releasing untapped human potential is to build a healthier body, and through which a better brain. This allows us to do more of everything that is important to each one of us. Billions of healthier brains, sitting in healthier bodies, can take up more complex problems that defy solutions today, including many existential threats, and solve them in just a few decades.
Billions of healthier brains will make the world richer beyond what we can imagine today. The surplus wealth, combined with better human capabilities, will lead us to a new renaissance, giving us a richer and more beautiful culture. These healthier brains will be equipped with deeper intellect, be less acrimonious, more magnanimous, and have a kinder outlook on the world, resulting in a world that is better than any previous time.
We find this vision of the future exhilarating. Our hopes and dreams are to create this future as quickly as possible and ensure that it is widely distributed and optimized to maximize all forms of human excellence.
Role Overview
We are a fast-growing healthcare startup based in Chennai, dedicated to revolutionizing the healthcare sector. As we scale our operations and strengthen our finance function, we are looking for a highly driven and detail- oriented Chartered Accountant (CA)/ MBA to join our finance team and work closely with Founders of the organization. If you are passionate about thriving in a fast paced, growth -stage environment and making a meaning impact, this role offers an exciting and rewarding opportunity for you
Responsibilities
As a Lead of Corporate Planning & Business Finance team, you will be responsible for key financial functions that drive business growth and financial health. Your key responsibilities will include:
Key Metric Analysis:
● Develop, own, and drive critical financial metrics such as revenue growth, margins, customer acquisition costs, and churn rates to assess business performance and growth potential.
● Analyze healthcare-specific KPIs, including patient outcomes, tech adoption rates, and cost savings from tech solutions.
● Identify trends and suggest improvements to uncover potential risks and opportunities.
● Benchmark key metrics against industry standards and historical performance to identify strategic gaps and growth opportunities.
Strategic Financial Modelling & Scenario Planning:
● Partner with senior leadership to ensure financial models align with the company’s strategic priorities, evolving market dynamics.
● Collaborate with cross-functional teams (Sales, Operations, R&D, Product/ Tech teams) to refine financial assumptions, including growth projections, pricing strategies, and cost drivers.
● Continuously enhance and update models based on market changes and strategic shifts.
KPI Ownership & Business Performance Tracking:
● Build and maintain real-time dashboards to monitor key performance indicators across departments and reporting levels.
● Track and analyse financial KPIs at both macro (profitability, growth) and micro levels (revenue and cost centres, product lines).
● Monitor revenue performance across locations, verticals, and service/product lines.
● Identify opportunities for cost optimization while maintaining quality and growth.
Budgeting & Forecasting:
● Lead the preparation of quarterly and annual budgets, ensuring alignment with strategic business priorities and departmental plans.
● Compare actual financial performance against budgets, analyse variances, and identify their root causes.
● Provide data-backed insights and recommendations to management to support informed decision-making.
● Develop multiple budget scenarios and sensitivity analyses to model business impact under varying market and operational conditions.
● Collaborate closely with functional leaders to ensure accurate forecasting, cost ownership, and alignment across departments
Variance Analysis & Management Reporting:
● Conduct variance analysis and present findings to the management team.
● Explain deviations from budget due to external and internal factors, providing actionable recommendations.
● Support management in refining strategy based on financial insights.
● Translate financial trends into business implications, enabling proactive adjustments across departments.
Investor & External Stakeholder Reporting:
● Ensure timely and accurate submission of financial reports to investors, regulatory authorities, and other key external stakeholders.
● Provide transparent, data-driven insights into financial performance, highlighting variances from forecasts and comparisons against industry benchmarks.
Cash Flow Management & Forecasting:
● Develop, maintain, and monitor 12-month cash flow forecasts, tracking inflows and outflows on a weekly basis.
● Assess liquidity risks and identify opportunities to improve working capital efficiency.
● Develop proactive strategies to manage cash flow fluctuations, especially in a fast-paced or health tech environment.
Financial Dashboarding & BI-Driven Decision Support:
● Design and implement automated dashboards using tools such as Power BI, Alteryx, or equivalent platforms to enable real-time performance tracking.
● Empower data-driven decision-making by delivering interactive financial insights to business stakeholders across departments.
● Leverage BI tools to visualise complex financial datasets, perform scenario analysis and drive proactive business planning.
Valuation, Covenant Reporting & Compliance:
● Assist in company valuation for fundraising, M&A, and internal strategic planning and financial assessments.
● Manage covenant reporting for debt obligations, ensuring compliance with financing agreements.
● Ensure adherence to financial regulatory requirements, including sector-specific compliance such as HIPAA, GDPR, and other relevant health tech regulations.
Collaboration with Product & Tech Teams:
● Partner closely with product and technology teams to evaluate the financial impact of product development, regulatory approvals, and go-to-market strategies.
● Track and analyze the ROI of product launches, regulatory filings, and market penetration to inform long-term investment decisions.
● Provide financial insights to support product roadmap prioritization, pricing strategies, and scalability planning.
Requirements:
● Educational Qualifications:
Chartered Accountant (CA) or Tier-I MBA with 10–15 years of post-qualification experience.
● Experience
Proven experience in a high-growth startup environment and in a business partnering role, ideally with exposure to startup and/or healthcare sectors.
● Strategic & Commercial Acumen
Ability to connect financial insights with business strategy, influence decision-making.
● Analytical & Problem-Solving Skills
Strong analytical skills with the ability to extract actionable insights from financial data.
● Proficiency in Financial Software
Experience with accounting software and ERP systems such as Zoho Books, along with advanced Excel skills. Familiarity with reporting automation tools is a plus.
● Interpersonal Skills
Excellent communication and interpersonal skills to work effectively with cross-functional teams, external stakeholders, and senior management.
● Attention to Detail
A meticulous approach to managing financial records and ensuring accuracy in reporting.
● Tech Proficiency
Proficiency in Power BI, Zoho Books, and Microsoft Office (Excel, Word, PowerPoint). Exposure to automation tools and financial modelling is a plus.
Here are answers to some questions you may have
Who is Amura?
We are a health startup with presence in multiple countries
How old are you?
6+ years
What is special about you?
Our clients are at the heart of the Amura protocol, an intensive health program. Choosing this journey makes them truly special. Our team, composed of brilliant minds in operations, medicine, and marketing, invites you to explore joining us. Our success is evident in our 82+ Net Promoter Score (NPS), and all our business comes organically as people love what we do.
What is special about working with you?
You will grow crazy-fast. As a rule of thumb, you can expect 5 years of growth for every year you are with us. But beware, growth like that cannot be achieved with life as usual. / But beware, growth like that cannot be achieved by any ordinary person
What kind of people are you looking to add to your team?
We are looking for people who, when given the opportunity to have a measurable impact on the world, will take it. Who values human life and is willing to work tirelessly on not only improving themselves for their own sake but for the benefit of everyone in the world. We work on the edge of our own best, striving to find what could come next in our growth. Anyone that joins the team will not only find the challenges they need to push them, but also will have Amura at their back for support and guidance
Where is your office?
Chennai (Perungudi)
Work Model
Work from Office – because great stories are built in person!
Do you have an online presence?
(we are @AmuraHealth on all social media)
Perks I get when I join Amura?
● Great salary, combined with greater growth opportunities
● Health insurance for you and your dependents
● All Amura programs are available free of cost to you and your dependents (you’ll have to pay for the consumables, though)
Investment Banking Associate
Posted 2 days ago
Job Viewed
Job Description
Investment Banking Associate
Posted 2 days ago
Job Viewed
Job Description
Key Responsibilities:
- Assist in the origination and execution of M&A transactions, debt and equity financings, and other corporate finance activities.
- Conduct in-depth financial analysis, including company valuations, comparable company analysis, and precedent transaction analysis.
- Develop complex financial models and projections to support transaction analysis and client recommendations.
- Prepare client presentations, pitch books, and marketing materials.
- Manage due diligence processes and coordinate with legal counsel, auditors, and other advisors.
- Build and maintain strong relationships with clients and industry participants.
- Stay informed about market trends, industry developments, and macroeconomic factors impacting the financial landscape.
- Supervise and mentor junior analysts, providing guidance and feedback on their work.
- Contribute to the firm's business development efforts and expansion into new markets or sectors.
Investment Banking Associate
Posted 20 days ago
Job Viewed
Job Description
Investment Banking Analyst
Posted 20 days ago
Job Viewed
Job Description
Key Responsibilities:
- Develop complex financial models and valuation analyses (DCF, precedent transactions, comparable companies).
- Assist in the preparation of pitch books, client presentations, and marketing materials.
- Conduct in-depth industry research and company analysis.
- Support deal execution, including due diligence, documentation, and transaction management.
- Build and maintain client relationships.
- Monitor market trends and identify potential investment opportunities.
- Collaborate with internal teams across different divisions.
- Perform ad-hoc financial analysis and reporting as needed.
- Ensure compliance with all regulatory requirements and internal policies.
- Contribute to the team's overall success and client satisfaction.
- Bachelor's degree in Finance, Economics, or a related field from a top-tier university.
- 1-3 years of relevant experience in investment banking, corporate finance, or a related field.
- Exceptional quantitative and analytical skills.
- Proficiency in Microsoft Excel and PowerPoint.
- Strong understanding of accounting principles and financial statement analysis.
- Excellent communication, presentation, and interpersonal skills.
- Ability to work long hours and meet tight deadlines.
- High level of attention to detail and accuracy.
- Proven ability to work effectively in a team environment.
- A proactive attitude and a strong desire to learn.
Be The First To Know
About the latest Investment banking Jobs in Chennai !
Senior Investment Banking Analyst
Posted 2 days ago
Job Viewed
Job Description
Responsibilities:
- Conduct in-depth financial analysis, valuation modeling, and due diligence.
- Prepare client presentations, pitch books, and information memorandums.
- Assist in the execution of M&A, IPOs, debt, and equity transactions.
- Perform industry and company-specific research to identify investment opportunities.
- Support senior bankers in client relationship management and business development.
- Monitor market trends and economic conditions impacting financial markets.
- Collaborate with deal teams to manage transaction processes.
- Ensure compliance with regulatory requirements and internal policies.
- Develop and maintain strong relationships with clients and industry contacts.
- Mentor junior analysts and contribute to team development.
Qualifications:
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field.
- Minimum of 3-5 years of relevant experience in investment banking, corporate finance, or private equity.
- Advanced financial modeling and valuation skills (DCF, LBO, comparable company analysis).
- Proficiency in Excel, PowerPoint, and financial databases (e.g., Bloomberg, Refinitiv).
- Strong understanding of financial markets, corporate finance, and M&A processes.
- Excellent analytical, quantitative, and problem-solving abilities.
- Exceptional communication, presentation, and interpersonal skills.
- Ability to work long hours and meet tight deadlines.
- High degree of professionalism and integrity.
Senior Investment Banking Analyst
Posted 6 days ago
Job Viewed
Job Description
Senior Investment Banking Analyst
Posted 9 days ago
Job Viewed
Job Description
Key Responsibilities:
- Perform detailed financial analysis, including valuation modeling (DCF, LBO, precedent transactions, comparable companies), accretion/dilution analysis, and pro forma financial statements.
- Develop and prepare high-quality presentation materials, including pitch books, confidential information memorandums (CIMs), and management presentations.
- Conduct extensive industry and company research to identify potential M&A targets, strategic alternatives, and financing opportunities.
- Assist in the due diligence process for transactions, coordinating with clients, legal counsel, and other advisors.
- Support senior bankers in client interactions, transaction execution, and relationship management.
- Monitor market trends, economic conditions, and competitor activities relevant to the firm's coverage sectors.
- Build and maintain strong relationships with clients, investors, and other financial institutions.
- Assist in the origination of new business opportunities by identifying market gaps and client needs.
- Manage multiple projects simultaneously, ensuring timely delivery of high-quality work products under tight deadlines.
- Contribute to the training and development of junior analysts.
- Ensure compliance with all regulatory requirements and internal policies.
- Work collaboratively with other departments within the firm to provide integrated client solutions.
- Develop a deep understanding of the firm's various financial products and services.
- Conduct analysis of financial statements and key performance indicators for public and private companies.
- Assist in the structuring and negotiation of transaction terms.
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field from a top-tier university.
- Minimum of 3 years of investment banking, corporate development, private equity, or related transaction advisory experience.
- Exceptional financial modeling and valuation skills are essential.
- Proficiency in Microsoft Excel, PowerPoint, and Word is mandatory.
- Strong understanding of accounting principles and corporate finance theory.
- Excellent analytical, quantitative, and problem-solving abilities.
- High level of attention to detail and accuracy.
- Strong work ethic, professional demeanor, and ability to work under pressure in a demanding, fast-paced environment.
- Excellent written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Ability to work independently and effectively manage time and priorities in a remote setting.
- Team player with strong interpersonal skills.
- Prior experience in M&A or capital markets transactions is highly preferred.
- CFA designation or progress towards it is a plus.
Explore exciting investment banking job opportunities in