*Client is a private equity / venture capital fund
Responsibilities:
- Oversee external valuation providers by organizing and delivering essential data for their use.
- Create, update, review, and maintain valuation models in compliance with the firm’s guidelines.
- Analyze and track the performance of portfolio companies to support informed valuation decisions.
- Lead the quarterly valuation process, ensuring accurate reflection in financial statements and the firm’s internal systems.
- Manage portfolio company data in partnership with external vendors and maintain records using the firm’s proprietary software platform.
- Present portfolio company data in a manner that highlights key insights for investment leads.
- Develop ad hoc financial models and analyses related to fund and portfolio performance.
- Contribute to the creation of critical external-facing materials, including presentations for the annual investor meeting, advisory board sessions, and semiannual reports, working collaboratively across teams.
- Support the preparation of fundraising materials in conjunction with the investor relations team.
Required Qualifications:
- A minimum of three years of relevant valuation experience at a leading accounting, consulting, or valuation firm, or within private equity/venture capital
42543