Eine maßgeschneiderte Bewerbung für diese Stelle — ein maßgeschneiderter Lebenslauf und ein Anschreiben, die genau zur Stellenanzeige passen.
Somewhere is seeking a Financial Modeling Expert to build and defend sophisticated financial models across investment banking, private credit, PE, and corporate finance domains. You will transform messy source data into clear analytical structures and create robust schedules for revenue, costs, working capital, debt, and valuation.
The role requires deep expertise in finance concepts and a proven ability to explain modeling choices and assumptions in English.
Location: Remote (South Africa and LATAM)
Contract: Independent Contractor
Schedule: Full-Time, Monday-Friday, Flexible schedule.
This role is for someone who has personally owned real models and can explain the logic behind them. We are not looking for someone who only fills in templates or makes spreadsheets look polished. We are looking for people who understand how real businesses, transactions, forecasts, financing decisions, and messy source materials turn into a model.
The work spans areas such as:
Investment Banking
Credit
Corporate Finance / Financial Planning and Analysis
Debt Capital Markets
Private Equity
Risk
Quantitative Finance
Private Credit
Build financial models from scratch across a range of finance use cases.
Review and improve models built by other finance experts.
Create realistic finance scenarios, assumptions, and supporting source materials.
Build detailed revenue, cost, working capital, capital expenditure, debt, covenant, valuation, and scenario schedules.
Work with messy or incomplete information and turn it into a clear analytical structure.
Identify weak assumptions, broken logic, missing schedules, and oversimplified analysis.
Explain modeling choices clearly and defend the logic behind your work.
Strong candidates can look at a business situation and understand where the real economics live. They know the difference between complexity that matters and complexity that is just extra rows, tabs, or formatting.
We care about candidates who can say: “I built this. I understand the drivers. I know where the risks are. I can defend the logic.”
Experience in private credit, credit, real estate, private equity, debt capital markets, risk, asset-based lending, asset-backed securities, quantitative finance, corporate finance, financial planning and analysis, investment banking, valuation, or similar.
Strong ability to build financial models from scratch.
Advanced Excel modeling skills.
Expert-level understanding of finance concepts like cash flow, valuation, leverage, liquidity, capital structure and others related to their finance domain
Ability to work independently with ambiguous problems.
Strong attention to detail.
Clear written and verbal English.
Experience with debt, credit, restructuring, commercial real estate, asset-backed securities, asset-based lending, or structured finance models.
Experience creating or reviewing modeling tests, case studies, or training materials.
Familiarity with artificial intelligence tools, automation, or data workflows.