Gentis
Gentis
Accueil

JobsMissionsMédiaÉtudes de cas
Contactez-nous à tout moment via
hello@gentis.com

Nos dernières offres

Rechercher une opportunité par mot-clé

Senior M&A Analyst – Investment Banking

30/10/2025
PermanentBelgiumOn site
Lien copié
Description du poste

Position Overview: The Senior M&A Analyst plays a central role in supporting investment banking activities focused on mergers & acquisitions, corporate financial services, asset management, and strategic advisory.

  • Day-to-day responsibilities include:
    • Executing advanced financial modeling techniques, including DCF, LBO, and merger models, as well as constructing peer and sector comparables.
    • Conducting deep financial analysis of client P&L statements, balance sheets, and cash-flow statements.
    • Ensuring full compliance with IFRS and GAAP standards in all analyses and deliverables.
    • Leveraging advanced proficiency in Excel, PowerPoint, and data platforms (Capital IQ, Bloomberg, FactSet) to produce high-quality materials.
    • Playing a key role in the due diligence process for M&A mandates, coordinating with stakeholders to validate financial assumptions and uncover risks.
    • Performing company valuations using a range of accepted methodologies.
    • Preparing professional-grade pitchbooks and investment memorandums for client presentations and board-level discussions.
    • Conducting strategic market and sector research to provide actionable insights for clients and to inform deal origination.
    • Interacting regularly in English, French, and Dutch within internal teams and in communications with clients, investors, and partners.
    • Maintaining strict confidentiality on sensitive projects and adhering to all firm compliance protocols.
  • Scope & Objectives:
    • Deliver robust analytical support on complex transactions and mandates in a fast-paced, deadline-driven environment.
    • Ensure analytical outputs directly contribute to successful transaction structuring and the credibility of client advisory services.
    • Demonstrate autonomy in managing assignments while providing support and alignment with broader team objectives.
  • Required Qualifications:
    • Degree in finance, economics, engineering, or a top-tier business school background.
    • 3 to 5 years of experience in M&A, Private Equity, Transaction Services, or financial audit focused on transactions.
    • Fluency in English; proficiency in French and Dutch is essential, additional languages a plus depending on office location.
Description du profil

We are looking for candidates who combine cutting-edge technical skills in corporate finance with the drive, judgment, and personal rigor needed to thrive in a high-pressure, fast-paced environment. The ideal profile includes:

  • Exceptional analytical rigor and an acute attention to detail, enabling high-quality, robust financial analysis and business insight.
  • Mastery of advanced financial modeling and valuation methods (including DCF, LBO, comparables), with confidence navigating complex financial and accounting frameworks (IFRS/GAAP).
  • Proven due diligence and transaction experience, ideally gained within M&A, Private Equity, Transaction Services, or financial audit.
  • Superior command of financial tools and platforms, such as Excel, PowerPoint, Capital IQ, Bloomberg, and FactSet.
  • Academic excellence: a degree from a top-tier business school, university, or engineering program in finance, economics, or related disciplines.
  • 3-5 years of relevant experience in high-level financial environments, with demonstrated exposure to corporate transactions and strategic advisory.
  • Outstanding written and spoken communication skills in English. Proficiency in French and/or Dutch (or German, depending on the office) is highly valued.
  • Poise under pressure, with the ability to deliver high-quality results within tight deadlines and manage competing priorities effectively.
  • Absolute discretion and a strong sense of confidentiality, particularly when interacting with senior executives and clients.
  • Collaborative mindset, capable of working independently while actively contributing to team success.
  • Intellectual curiosity and a genuine passion for financial markets, complex business challenges, and strategic corporate development.
  • Client-facing professionalism, with the maturity and communication skills to build relationships with demanding, high-level stakeholders.

If you thrive in analytical, intellectually challenging settings and are motivated by the dynamics of corporate transactions and financial markets, you will excel and grow in this environment.

Nombre de postes ouverts:
2 postes
Lieu de travail:
Boulevard de la Woluwe 2 1150 Woluwe-Saint-Pierre, Belgium
Lien copié

Opportunités similaires

General Management, Strategic Advisory & Board
27/10/2025

Emerging Technology Risk Manager

We are looking for an accomplished professional to lead strategic initiatives in innovation and technology risk within the financial services sector. The successful candidate will be responsible for evaluating the risks and opportunities arising from emerging technologies and complex business models, including those involving payments, banking, and digital assets.This role requires a combination of strong analytical capability, deep industry knowledge, and the ability to communicate effectively with senior stakeholders across business, technology, and risk disciplines.Key ResponsibilitiesIdentify, assess, and provide insight on technology and innovation-related risks across financial institutions and fintech ecosystems.Lead the development of frameworks and best practices for managing risks associated with new and evolving technologies.Provide expert analysis on topics such as blockchain, digital assets, and distributed ledger technology.Partner with internal and external stakeholders to evaluate fintech business models and propose effective risk mitigation strategies.Conduct independent research and analysis on emerging innovation and technology trends in financial services.Prepare high-quality reports, recommendations, and presentations for senior management.Support the design and implementation of strategic initiatives related to technology risk and innovation.

PermanentUnited Arab EmiratesOn site
Finance
27/10/2025

Credit Manager

The Credit Manager will be responsible for overseeing the company’s credit operations, including credit risk assessment, credit control, and portfolio management. This role requires a strategic and analytical professional with solid experience in both credit risk and credit control, strong process optimization skills, and the ability to manage diverse stakeholders effectively.Fluency in Arabic and English is essential due to the regional scope of the role and frequent interaction with clients, partners, and regulators.Key ResponsibilitiesLead and manage the end-to-end credit function, covering credit risk assessment, credit approval, monitoring, and collection processes.Develop, implement, and maintain credit policies, procedures, and frameworks that align with regulatory standards and business objectives.Monitor and control the company’s credit exposure to ensure optimal risk-return balance and adherence to credit limits.Oversee the credit control process to ensure timely collection, minimize bad debts, and improve cash flow performance.Analyze financial statements, customer data, and market trends to assess creditworthiness and recommend appropriate risk mitigation strategies.Drive process optimization initiatives to enhance operational efficiency, decision-making speed, and data accuracy within the credit function.Collaborate closely with key stakeholders including sales, operations, finance, and compliance to ensure alignment of credit policies with business goals.Prepare and present comprehensive reports on credit portfolio performance, delinquency trends, and risk exposure to senior management.Mentor and develop the credit team, fostering a culture of accountability, collaboration, and continuous improvement.

PermanentUnited Arab EmiratesOn site
Finance
24/10/2025

Chief Financial Officer (CFO)

The CFO plays a pivotal role in steering a company’s financial strategy and ensuring compliance with applicable regulatory and accounting frameworks. As the most senior finance executive in the organization, the CFO oversees all aspects of financial planning, reporting, control, and risk management, while serving as a key advisor to the board and investment committee.The position fundamentally combines hands-on leadership with strategic financial management.Key ResponsibilitiesLeadership and Management: Lead the entire finance function, ensuring high standards of financial governance, accountability, and performance. Set direction for the finance team, drive execution, and act as the financial steward of the organization at the executive level.Regulatory Reporting: Oversee the preparation and submission of financial reports in compliance with applicable national regulations and standards. Monitor regulatory developments and ensure the company’s financial practices remain consistently aligned.Financial Strategy and Analysis: Develop and implement forward-looking financial strategies to support sustainable business growth. Apply financial modeling and scenario planning, to guide decision-making and performance evaluation.Stakeholder Engagement: Act as the primary financial counterpart to the board, investment committee, and other governance bodies. Deliver financial insights and strategic recommendations that support high-quality executive and board-level decision-making.Compliance and Risk Management: Ensure the company’s financial operations adhere to regulatory, accounting, and internal control requirements. Develop and maintain risk mitigation strategies to protect financial stability and corporate assets.Investment Accounting: Oversee the treatment and presentation of investment portfolios in line with accounting standard. Ensure appropriate valuation, classification, and reporting of financial instruments.Financial Planning and Analysis: Lead the development of comprehensive financial models and planning tools to simulate business scenarios, assess capital needs, and support executive decisions. Ensure accurate and timely reporting of financial KPIs, including balance sheet, income statement, and cash flow analysis.

PermanentUnited Arab EmiratesOn site

Le job de vos rêves n’est plus qu’à un clic.

Envoyez-nous votre CV et nous vous mettrons directement en contact avec l'un de nos recruteurs spécialisés qui vous guidera dans la recherche de l'emploi de vos rêves !

Numéro de téléphone
Phone
Candidats

Témoignages

Rejoignez notre communauté active de professionnels et découvrez votre potentiel.

Pour vous tenir au courant de nos dernières actualités.