Corporate Finance

Hologate

Job Summary

This role involves taking responsibility for financial corporate planning, including forecasting, budgeting, and liquidity management. You will analyze and evaluate investment and financing projects, create business cases, financial models, and profitability analyses. The position supports management with strategic decisions through sound financial analysis and involves developing financial processes, KPIs, and reporting structures. You will work in an innovative, internationally growing technology company with creative freedom, flat hierarchies, flexible working hours, and a dynamic team.

Must Have

  • Successfully completed studies in Business Administration, Finance, Accounting or a comparable degree
  • Several years of experience in Corporate Finance, M&A, Private Equity, Investment Banking or Financial Planning & Analysis
  • Very good knowledge in financial modeling, balance sheet understanding and cash flow analysis
  • Strong analytical skills
  • Strong communication skills
  • Proficient in MS Excel
  • Very good German and English language skills

Good to Have

  • Experience with BI tools

Perks & Benefits

  • Collaboration in an innovative, internationally growing technology company
  • Creative freedom and the opportunity to actively contribute to company development
  • Flat hierarchies, short decision-making paths and a dynamic work environment
  • Flexible working hours
  • A motivated, creative team and a corporate culture based on openness and progress
  • Hybrid working options

Job Description

We offer

  • Collaboration in an innovative, internationally growing technology company
  • Creative freedom and the opportunity to actively contribute to company development
  • Flat hierarchies, short decision-making paths and a dynamic work environment
  • Flexible working hours as well as Hybrid-Working-Options
  • A motivated, creative team and a corporate culture based on openness and progress

Your tasks

  • Responsibility for financial corporate planning including forecasting, budgeting and liquidity management
  • Analysis and evaluation of investment and financing projects
  • Creation of business cases, financial models and profitability analyses
  • Preparation and support of financing rounds, investor discussions and bank communication
  • Support of management in strategic decisions through sound financial analyses
  • Further development of financial processes, KPIs and reporting structures
  • Close cooperation with controlling, accounting and external partners

Your profile

  • Successfully completed studies in Business Administration, Finance, Accounting or a comparable degree
  • Several years of experience in Corporate Finance, M&A, Private Equity, Investment Banking or Financial Planning & Analysis
  • Very good knowledge in financial modeling, balance sheet understanding and cash flow analysis
  • Strong analytical skills and a detail-oriented and structured way of working
  • Strong communication skills and the ability to prepare complex issues understandably
  • Proficient in MS Excel; ideally experience with BI tools
  • Very good German and English language skills

7 Skills Required For This Role

Team Management Communication Excel Strategic Financial Management Forecasting Budgeting Game Texts Accounting

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