Responsibilities
- Conduct business analysis to evaluate financial performance, identify growth opportunities, and support strategic decision-making.
- Assist in capital markets engagement activities, such as investor relations, private equity discussions, funds, and grants strategy.
- Contribute to financial modeling efforts to assess investment opportunities, forecast financial outcomes, and support financial planning.
- Develop comprehensive financial business plans to drive growth initiatives and funding activities.
- Support the development of valuation models for potential investments and assist in financial due diligence.
Requirements
- Currently enrolled or recently graduated from a Master’s program in finance, accounting, or investment management, or a related field.
- Master’s program enrollment or completion is mandatory.
- Strong analytical skills with a deep understanding of financial concepts and methodologies.
- Excellent proficiency in financial modeling and valuation techniques.
- Mastery of Microsoft Excel, with the ability to perform complex financial analysis.
- Strong written and verbal communication skills to effectively present financial information.
Nice to Have
- A profound curiosity, a genuine passion for continuous personal and professional growth, and a strong desire to apply your unique abilities to create significant impact within our team.
Additional Information
- This is designed largely as a remote placement however can also be a hybrid internship (Chicago or Toronto).
- This will be a demanding internship and will require you to bring the best version of yourself to the table, but for those who embrace this, it will be a richly rewarding experience as well as a great compliment to your academic investment.