About Natland
We are an investment group operating primarily in the Czech and Slovak markets. We invest capital primarily in medium-sized companies, strategically focusing on the energy and real estate sectors – residential and multifunctional. We manage the assets of our own, our shareholders and qualified investors through specialized investment funds. Our competitive advantage is our expertise in crisis management of companies in complex situations.
Job description
Do you enjoy working with numbers, like to analyse opportunities, excel in Excel and are you interested in the nooks and crannies of the investment market and like to explore them?
We manage a broad portfolio of investments, but our strategic focus is real estate and energy. We are looking for an Investment Analyst to join our team of senior colleagues task will be responsible for covering the investment portfolio, particularly in terms of financial analysis and providing support to theat evaluating investment opportunities.
What you will be responsible for
- Complete analysis of sectors, industries and business plans
- Evaluation of investment opportunities and preparation of investment recommendations with presentation to the Group’s partners
- Participation in the M&A process in the implementation of new investment opportunities
- Creating reports on investment opportunities, evaluating investment performance, reviewing investment strategy
- Creation of ad-hoc analyses for the needs of individual group companies
- Checking the financial performance of specific projects and the implementation of the financial plan, preparing recommendations for corrective measures
- Meetings with representatives of potential investments
- Cooperation with other analysts and investment managers
- Preparation of presentations and documents for meetings, minutes of meetings
- Management of sub-projects
- Organizing project coordination meetings
- Arranging or supervising the recording of project documentation
What we expect from you
- Orientation in the complete range of corporate finance issues with a focus on corporate transformations and combinations
- Minimum of 5 years’ experience in corporate finance
- Performing financial analyses and summarizing them into clear reports
- Knowledge of financial analysis of companies and measurement of financial performance of companies
- Knowledge of business valuation and corporate assets
- Orientation in valuation of development projects and income properties an advantage
- Advanced use of software in MS Windows environment especially office programs Excel, Word, PowerPoint, Outlook, Teams
- Knowledge of accounting and tax basics (necessary for analysis, structuring and project management), orientation in market financing conditions (bank financing, investment instruments, bonds, basic market conditions), basic knowledge of insolvency law and insolvency process (necessary in distressed asset projects that may be resolved by restructuring or bankruptcy)
- Overview of software tools (including databases) and business applications (including accounting and ERP systems) that the candidate has experience of using, indicating the level of proficiency in their use
- An overview (at least an indicative number) of the number of sector analyses, business plans, financial plans, investment evaluations, business or asset valuations or other reports on corporate finance
What we can offer you
- A unique opportunity to work in a strong, stable, dynamic and growing investment group
- Interesting and varied work
- A high degree of autonomy, career development opportunities
- Pleasant working environment and experienced team of colleagues
- Offices in representative premises in a popular location in Prague – Karlín
- Employee benefits system – company phone, laptop, meal allowance, English lessons, refreshments at the workplace, sick days