
Supporting US/European/UK asset managers on new HY/Leveraged Loan/Distressed deals/investment opportunities which would entail building investment memos and detailed models
Analysis and spreading of financial statements including Income Statements, Balance Sheets, and Cash Flow statements of public and private companies in Excel. Going through the schedules, notes, and MD&A for normalizing the statements for exceptional items to arrive at the true profitability figures like Net Revenue, Free cash flow, and EBITDA.
Portfolio coverage including model updates and earning summary write-ups, while maintaining regular news on the portfolio. Maintain data, spreadsheets, charts, and graphs.
Oversee research and analysis on areas including but not limited to the company's primary industry, competitors, macro-factors affecting the industry, company's position within the industry.
Support the client with any other ad-hoc requests.