Manager – Financial Due Diligence – CA Corenza

The Corporate Institute

Bengaluru

On-site

INR 7,000,000 - 11,000,000

Full time

14 days+
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Job summary

The Corporate Institute is seeking a Portfolio Finance Manager to support investment decisions by evaluating financial, operational, and commercial aspects of potential portfolio companies. You will work closely with the investment team across multiple sectors to assess high-growth businesses.

Key responsibilities include leading financial due diligence, reviewing financial statements, identifying risks, and preparing reports for decision-makers while coordinating with founders and advisors

Qualifications

  • CA with post-qualification experience.
  • Experience in FDD, TAS, or forensic due diligence.
  • Prefer candidates from Big 4 or reputed mid-sized CA firms.
  • Strong understanding of financial statements, accounting standards and valuation concepts.

Responsibilities

  • Conduct Financial Due Diligence for investment opportunities.
  • Review historical financials and assess earnings quality, working capital, cash flow and debt.
  • Identify financial risks, red flags and value creation opportunities.
  • Analyze revenue trends, profitability and margins.
  • Prepare due diligence reports and present findings to the investment team.
  • Collaborate with founders, management, auditors, tax advisors and legal consultants during transactions.
  • Support deal execution through financial analysis and data validation.
  • Assist in post-investment monitoring and reviews as required.

Skills

Financial due diligence
Financial analysis
Stakeholder management
Report writing

Education

Chartered Accountant

Tools

Financial modeling

Job description

About Company:

Company is a leading venture capital firm with a strong track record of backing high-growth, technology-driven companies across India and Southeast Asia. The firm focuses on early to growth-stage investments and has supported several category-defining businesses across sectors including technology, consumer, fintech, SaaS, healthcare, and deep tech.

About the Role:

We are looking for a Portfolio Finance Manager to support investment decisions by evaluating financial, operational, and commercial aspects of potential portfolio companies. The role offers the opportunity to work closely with the investment team in assessing high-growth businesses across multiple sectors.

Key Responsibilities:
  • – Conduct Financial Due Diligence (FDD) for investment opportunities.
  • – Review historical financial statements and assess the quality of earnings, working capital, cash flows, and debt position.
  • – Identify key financial risks, red flags, and value creation opportunities.
  • – Analyze revenue trends, profitability, margins, and financial performance.
  • – Prepare due diligence reports and present key findings to the investment team.
  • – Work closely with founders, management teams, auditors, tax advisors, and legal consultants during transaction execution.
  • – Support deal execution through financial analysis and data validation.
  • – Assist in post-investment monitoring and review of portfolio companies where required.
Preferred Candidate Profile:
  • – Chartered Accountant (CA) with 35 years of post-qualification experience.
  • – Prior experience in Financial Due Diligence (FDD), Transaction Advisory Services (TAS), or Forensic Due Diligence.
  • – Candidates from Big 4 or reputed Mid-sized CA Firms will be preferred.
  • – Strong understanding of financial statements, accounting standards, and valuation concepts.
  • – Excellent analytical, report-writing, and stakeholder management skills.
Technical Skills:
  • – Due diligence, Financial statement analysis, Risk assessment
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