
About Business:
Adani Group: In recent years, we have evolved from a new player in power generation to India’s largest private thermal power producer, with a capacity of 15,250 MW and a 40 MW solar project in Gujarat. It has created a world-class logistics and utility infrastructure portfolio that has a pan-India presence. Adani Group is headquartered in Ahmedabad, in the state of Gujarat, India. Over the years, Adani Group has positioned itself to be the market leader in its logistics and energy businesses focusing on large-scale infrastructure development in India with O & M practices benchmarked to global standards. With four IG-rated businesses, it is the only Infrastructure Investment Grade issuer in India.
Job Purpose: The Analyst – Corporate Finance is responsible for supporting financial modeling, data analysis, transaction execution, and reporting to drive strategic financial decisions. This role provides critical support in capital raising, M&A activities, financial structuring, and compliance, ensuring alignment with corporate finance objectives.
Team Member Analyst
Financial Analysis & Modeling:
Develop and maintain financial models to support decision-making for capital raising, M&A, and debt/equity financing.
Conduct scenario analysis and stress testing to evaluate financial strategies and risk exposure.
Assist in preparing valuation models, including discounted cash flow (DCF), comparable company analysis, and precedent transaction analysis.
Capital Raising & Transaction Execution:
Support the execution of debt and equity financing initiatives, assisting in documentation, due diligence, and investor presentations.
Assist in structuring corporate finance transactions, including syndicated loans, bond issuances, and project finance deals.
Track market developments, interest rates, and investor sentiment to provide insights for capital-raising strategies.
Reporting & Documentation:
Prepare and update financial reports, investor presentations, board materials, and regulatory filings.
Ensure accuracy and consistency in financial data and reports provided to senior management, investors, and rating agencies.
Maintain transaction records and financial models to facilitate efficient decision-making.
Stakeholder Coordination:
Collaborate with investment banks, credit rating agencies, lenders, and investors to provide necessary financial data and documentation.
Work closely with internal teams, including treasury, legal, tax, and compliance, to ensure seamless execution of finance-related initiatives.
Assist in preparing internal memos and presentations for executive leadership.
Market Research & Competitive Benchmarking:
Conduct research on industry trends, macroeconomic factors, and financial markets to assess their impact on corporate finance strategies.
Benchmark company financial performance against industry peers to identify areas for improvement.
Monitor regulatory changes in financial markets and assess their implications for the organization.
Key Stakeholders - Internal
Senior Management
Banking team
Treasury Team
Business Unit Representatives
Key Stakeholders - External
Banks
Regulatory Authorities
Rating Agencies
Educational Qualification:
Bachelor’s degree in Finance, Accounting, Economics, or a related field; CFA/FRM/MBA preferred.
Work Experience (Range of years):
1-3 years in a related field