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Senior Consultant & Assistant Manager - Audit Valuation for ECL & Derivatives - MENA

EY Podnikatel Roku

Dubai

On-site

USD 70,000 - 110,000

Full time

11 days ago

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Job summary

A leading international firm is seeking a Valuation Specialist to join their Assurance Valuation team. The role involves evaluating complex financial instruments for audit purposes and leveraging advanced financial modeling techniques. Candidates should have a strong background in finance and derivatives, along with excellent communication skills.

Benefits

Continuous learning opportunities
Flexibility to make an impact
Insights and coaching for leadership
Diverse and inclusive culture

Qualifications

  • 3 years of experience in valuation techniques and methodologies.
  • Direct experience in business valuation or investment banking.
  • Expertise in financial modeling in MS Excel.

Responsibilities

  • Review and evaluate the valuation of complex financial instruments.
  • Develop and maintain complex financial models.
  • Lead derivatives valuation engagements ensuring quality and timely delivery.

Skills

Financial modeling
Valuation techniques
Derivatives knowledge
Programming in Python
Data analysis

Education

Postgraduate degree in Finance, Economics, Accounting, or Business

Job description

Senior Valuations-Complex Securities & Expected Credit Loss (ECL)

EY is seeking a Valuation Specialist to join its Assurance Valuation team. This role involves reviewing and evaluating the valuation of complex financial instruments including derivatives for audit purposes. It presents an opportunity to grow within a leading firm through diverse engagements mentoring and continuous learning.

Key Responsibilities:

  • Ensure accurate reporting of derivatives and hedge transactions such as interest rate swaps FX and currency swaps and credit default swaps.
  • Provide expertise in valuing various financial instruments including corporate bonds treasury bills debt securities loan interest and equity securities.
  • Assess and document hedge effectiveness for different types of hedges including fair value hedges.
  • Review and evaluate the valuation of complex financial instruments including:
    • Forward currency contracts future contracts FX spot and forward deals
    • Expected Credit Loss (ECL)
    • Options warrants and share-based payments
    • Fixed income securities and tranches
    • Other derivatives including Employee Stock Options (ESOPS)
    • Total Shareholder Return (TSR) and Convertible Bonds
    • Bonds with embedded options and Sukuk
    • Derivative Strategies and Structured Derivatives
    • Contingent consideration arrangements
    • Simple Agreement for Future Equity (SAFE) notes
    • Credit Linked Notes (CLN)
    • Incremental Borrowing Rate (IBR)
  • Develop and maintain complex financial models using techniques such as Monte Carlo simulation Black-Derman-Toy model lattice techniques and finite difference methods.
  • Ensure compliance with accounting standards including IFRS 9 and IFRS 13.
  • Lead derivatives valuation engagements for financial reporting ensuring quality and timely delivery.
  • Utilize advanced tools like Python R @Risk VBA and data sources like Bloomberg Refinitiv and CapitalIQ.
  • Stay updated on business and economic trends to enhance valuation models and client engagements.
  • Communicate findings and recommendations effectively to senior management and clients.
  • Actively participate in process improvement to optimize workflows and enhance valuation efficiency.

Skills and Attributes for Success:

  • Technical Skills:
    • Proficient in financial modeling and valuation techniques including DCF Income Approach and Option Pricing Model.
    • Strong understanding of derivatives and hedge transactions.
    • Knowledge of accounting standards like IFRS 9 and IFRS 13.
    • Proficiency in programming languages such as Python and R.
    • Experience with data analysis using Bloomberg Refinitiv and CapitalIQ.
  • Soft Skills:
    • Excellent written and verbal communication skills.
    • Ability to mentor junior staff and enhance model creation.
    • Strong analytical and problem-solving capabilities.
    • Ability to work collaboratively with cross-functional teams.
    • Proven project management and interpersonal skills.
    • Competence in explaining complex financial concepts to non-technical stakeholders.

Qualifications:

  • A postgraduate degree in Finance Economics Accounting (CA) or Business with 3 years of relevant experience.
  • Direct experience in valuation techniques and methodologies in a business valuation firm venture capital investment banking or financial research.
  • Experience in financial modeling particularly in building models from scratch in MS Excel.

What We Offer:

  • Continuous learning opportunities to develop skills for future challenges.
  • Flexibility and tools to make a meaningful impact.
  • Insights and coaching for transformative leadership.
  • A diverse and inclusive culture that empowers individuals.

About EY:EY aims to build a better working world by creating long-term value for clients people and society. With teams in over 150 countries EY provides assurance consulting law strategy tax and transaction services helping clients navigate complex issues.

If you meet the criteria please contact us promptly. The exceptional EY experience awaits you.


Required Experience:

Manager

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