valuation analyst, private markets risk
Aksia
Αττική
Αττική
On Site
Χρηματοοικονομικά
Permanent
Full Time
About the job
Aksia is seeking an Analyst to join our Valuation team, who would be responsible to conduct valuation analysis for private credit and private equity investments, as well as collaborating with Aksia’s Risk and Operations professionals. This role will be within Aksia’s Private Markets Risk team, a group responsible for conducting detailed qualitative and quantitative monitoring on private credit, private equity, real estate, and real assets co-investments and funds across Aksia’s client universe.
The ideal candidate will have strong understanding of valuation methodologies. Also, candidates should be highly self-motivated, detail-oriented, and comfortable working in a fast-paced environment.
This position will be based in Aksia’s Greece office and will include regular interaction with global colleagues.
Responsibilities:
Conducting valuation analysis on a portfolio of private credit and private equity investments
Developing and maintaining valuation models
Providing valuation insights to the Risk Monitoring and Investment teams
Reporting and presenting analyses and conclusions including written reports
Qualifications:
1+ years of experience in alternative asset valuation, finance, accounting, or related field
Bachelor’s degree in finance, economics, business or another related field preferred
Experience doing private credit loan or private equity company valuations is preferred
Verbal and written fluency in English
Strong proficiency in Microsoft Office Suite, particularly Excel and Word
Strong analytical and critical-thinking skills
Exceptional attention to detail
Strong work ethic with a high degree of initiative, commitment, and drive
Ability to work effectively both independently and as part of a team
Positive and proactive attitude
On Site
Χρηματοοικονομικά
Permanent
Full Time
About the company
Aksia LLC, together with its wholly owned subsidiaries (collectively, “Aksia”) provides specialist alternative investment research and portfolio advisory solutions to institutional investors and we advise on $301 billion AUA and $25 billion AUM of client alternative allocations. We represent experienced pension plans, insurance companies, government-related institutions, endowments, foundations and superannuation funds. Aksia has over 460 employees who are located in seven offices across North America, Europe, and Asia, with headquarters in New York City and main offices in London and Tokyo.*
*All references herein refer to Aksia LLC, together with its wholly owned subsidiaries (collectively, “Aksia”). AUA/AUM is as of November 30, 2023. AUA is defined as the sum of the NAV and unfunded commitments of our clients' underlying investments. AUM is defined as the sum of the NAV and unfunded commitments of our clients' underlying investments and the amounts committed to an Aksia-managed vehicle but not yet committed to an underlying investment. AUA/AUM represents assets advised and/or managed by Aksia and tracked by Aksia’s Client Operations team. AUM includes all accounts where Aksia serves as the investment manager, whether in a fully discretionary manner or where the client retains veto/approval authority.. Number of professionals and experience is as of January 31, 2024.