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Associate, Corporate Finance and Investor Relations
WeWork
New York, NY, United States
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WeWork – Corporate Finance & Investor Relations, Associate
About the Role
The Corporate Finance and Investor Relations Group works directly with the CFO, Deputy CFO, and other members of WeWork’s leadership team to execute on strategic financial initiatives and lead special projects that help WeWork scale its rapidly growing business. WeWork is currently seeking an Associate for our Corporate Finance and Investor Relations team. This full-time position is based in New York City and will report directly to the Senior Director of Corporate Finance and Investor Relations. This individual’s responsibilities will include: capital market and fundraising activities, data-intensive analysis of financial and operating performance, business planning and financial modeling, and preparation of materials for WeWork’s Board of Directors, investors, and other external stakeholders.
Responsibilities:
• Financing and Capital Raises:
◦ Support any future equity or debt financing transactions through the production of data analytics, forecasts, presentations and assisting with corresponding due diligence process
◦ Conduct analyses that help inform terms and structure of any future equity or debt financing transactions
• Investor Relations:
◦ Prepare leadership team for quarterly earnings conference calls by creating investor presentations, analytics, and scripts/talking points/Q&A
◦ Communicate and engage with existing and prospective equity investors, bondholders, lenders, rating agencies, landlords, and other external stakeholders
• Data Analysis, Forecasting, and Reporting:
◦ Own the unit economics and global corporate financial models and assist in quarterly forecasting process
◦ Identify, develop, and systematize analysis of key performance metrics to help management understand operating and financial trends by market, region, and cohort
◦ Produce financial analyses and presentations for internal and external stakeholders, including executives, Board of Directors, investors, landlords, and strategic partners
• Special Projects:
◦ Develop business plans, financial forecasts, and analyses for strategic initiatives and ad hoc projects, including new business lines / markets / products analysis, strategic decision-making in day-to-day operations, and other growth initiatives
◦ Frequently interact with CFO, Deputy CFO, COO and other members of upper management
◦ Coordinate closely with Legal, Accounting, Real Estate, FP&A, Treasury, Community, and other departments on relevant projects
Qualifications:
• BA/BS degree; major in finance, accounting, and/or economics preferred
• 2-3 years of experience at a top investment banking, consulting, or investment management firm
• Highly skilled in Excel & PowerPoint with formal financial modeling and presentation building experience
• Must be able to synthesize and draw conclusions from copious amounts of raw data
• Must be able to build and maintain complex financial models for a global organization
• Self-starter that takes initiative and is driven by new challenges
• Strong work ethic and rigorous attention to detail
• Strong communicator with ability to present concepts, recommendations and analyses to senior management in a clear, concise and actionable manner
• Demonstrated success in team collaboration; ability to work well cross-functionally
• Passion for learning and relentless improvement; able to work comfortably under pressure in a fast-paced and dynamic environment