Key Responsibilities: Develop and maintain cash flow models, forecast liquidity, and optimize fund allocations. Monitor portfolio performance, support valuations, and provide strategic insights for optimization. Conduct financial analysis, prepare investment memos, and create performance reports. Maintain accurate tracking of investor interactions and stakeholder communications. Collaborate with internal teams, external partners, and investors to communicate financial insights. Qualifications & Skills: Bachelor&aposs degree in Finance, Economics, or related field; CFA/CAIA is a plus. 4-8 years of experience in private equity, investment banking, or asset management; Big 4 experience preferred. Strong financial modeling, cash flow forecasting, and portfolio management skills. Proficiency in Excel, PowerPoint, and financial databases; excellent communication and analytical abilities. If this opportunity interests you, kindly apply to this job post and fill out the form provided. https://forms.gle/TdGME7X6o4peeh8r5 Show more Show less