The position will work within small, dynamic deal teams across research, origination, execution and portfolio management/monitoring. Candidates should possess strong quantitative skills as well as qualitative skills enabling them to undertake a high level of responsibility with respect to the screening of investment opportunities, modelling and execution. Associates will also take part in portfolio management and monitoring.
Candidates should ideally possess 2-3 years of experience in an investment banking environment, where they will have perfected financial modelling skills and also developed commercial awareness through client exposure on a range of transactions. The role will involve generalist sector coverage, on a pan-European basis, therefore European language skills are preferred, particularly Norwegian, Swedish, Danish, German, Italian or Spanish.