Opportunity Description
Responsibilities
- Support the preparation of Cost Benefit Analyses for retail investment projects, contributing to the evaluation of proposed initiatives.
- Build and maintain financial models in Excel, including discounted cash flow analysis (IRR, NPV, and payback) under guidance from senior team members.
- Assist in developing multi‑year forecasts and cash flow projections based on key operating and capital assumptions.
- Analyze financial performance and key drivers of returns through scenario and sensitivity analysis.
- Prepare reporting, commentary, and presentation materials to support senior leadership discussions and investment decisions.
- Support the refinement and updating of financial models as project assumptions, scope, and timelines evolve.
- Conduct post‑implementation reviews to compare actual performance against forecasts and identify key variances and learnings.
- Collaborate with cross‑functional te...
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