Website Finance in Motion
About Finance in Motion
Finance in Motion is a leading impact asset manager exclusively focused on development finance. With more than EUR 3 billion in assets under management, the company designs and manages investment funds that seek to positively impact environmental and social development through innovative finance solutions. Committed to advancing sustainable development, Finance in Motion collaborates with governments, international financial institutions, banks, institutional investors, and non-profit organizations to pursue its mission. The company operates from 16 regional offices worldwide, staffed by over 300 dedicated professionals who are driven by a shared commitment to making a positive difference through finance.
About this Role
The role of Analyst Investment Management at Finance in Motion is a dynamic and hands-on position that involves supporting the origination, analysis, execution, and monitoring of structured debt and hybrid finance transactions across Latin America. It requires a strong emphasis on financial modelling, debt structuring, and credit analysis for corporate clients, particularly in the agribusiness and manufacturing value chains. The ideal candidate will be a high-performing analyst with a background in corporate finance, investment banking, or investment management, comfortable with building financial models, supporting transaction execution, and coordinating multi-party due-diligence processes. The position operates in a fast-paced, international environment where English is the company’s working language, with Portuguese proficiency being a strong advantage due to exposure to Brazil.
Responsibilities
- Support debt capacity analysis and financial modelling for senior, subordinated, and hybrid debt instruments.
- Build and maintain robust financial models (cash flow, debt service, sensitivities, scenarios).
- Prepare investment proposals, credit notes, and term sheets for internal approval processes.
- Coordinate internal and external due diligence streams (legal, technical, ESG/I&S, AML, financial).
- Conduct sector and company analysis across Latin America, focusing on corporate, manufacturing, and agribusiness sectors.
- Monitor macroeconomic, regulatory, and market developments relevant to portfolio construction and risk assessment.
- Liaise with internal teams and external advisers to support negotiations with clients, co-investors, and financial institutions.
- Support post-investment monitoring, including financial performance analysis and covenant tracking.
Requirements
- Bachelor’s degree in finance, economics, engineering, mathematics, or a related quantitative discipline.
- 2–3 years of relevant experience in investment banking, corporate finance, project finance, investment management, or similar roles.
- Strong financial modelling skills, with hands-on experience building debt and cash-flow models.
- Demonstrated exposure to debt structuring and credit analysis for corporate clients.
- Strong analytical, research, and problem-solving skills.
- Excellent written and verbal communication skills in English.
- Proactive, detail-oriented, and highly motivated team player with a strong work ethic.
- Willingness to travel as required.
- Portuguese language proficiency is highly desirable.
- Ability to work independently in a multicultural, international, and fast-paced environment.
Benefits
- An agile, diverse international working environment with employees of 68 nationalities.
- A job that allows full utilization and expansion of skills within an innovative, hands-on company culture.
- A purpose-driven, performance-oriented company rewarding above-average results.
- Effective training and upskilling opportunities for employees.
- A flexible and amicable work environment, with a high value placed on work-life balance.
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