About the Company:
Volga Group is a privately-held investment group that holds interests in a variety of assets. Group’s investment philosophy is based on direct and indirect investments in value-driven assets in Russia that produce consistent, long-term returns. Its three core areas of focus are energy, transportation and infrastructure development. The portfolio also includes investments in consumer goods, financial services and agricultural projects.
Functions
- Industry and company specific research and analysis
- Financial modelling and valuation
- Preparation of recommendations, analytical reports and memoranda for management, Investment Committee, Board members and Shareholders
- Existing portfolio assets performance monitoring
Requirements:
- Bachelors/Masters degree in Corporate Finance or business related field, CFA 1st or 2nd level is advantage
- 2 years of relevant experience in strategy consulting, leading investment bank or valuation/M&A department in Big 4 company
- Strong corporate finance, financial analysis and valuation expertise
- Advanced financial modelling skills
- Attention to detail and superior problem-solving skills
- Advanced skills in presentations and memoranda preparation
- Proficiency in verbal and written communications (English and Russian)
- Effective teamwork and time management skills, ability to perform well under pressure
- High professional standards and integrity
What do we offer:
- Work in a highly qualified team in one of the largest Russian private equity firms
- Challenging tasks and dynamic professional growth
- Competitive salary with excellent benefits