Negotiable
Undetermined
Undetermined
London Area, United Kingdom
Summary: The Financial Analyst role at GC Partners involves reviewing and enhancing financial models, supporting management during a debt raise process, and delivering actionable insights to senior stakeholders. This position requires a detail-oriented professional with a strong background in corporate finance and financial modelling. The role is integral to the Finance Team, contributing to strategic planning and performance improvement initiatives. Candidates should possess advanced Excel skills and a collaborative work ethic.
Key Responsibilities:
- Review and enhance existing financial models for accuracy and flexibility.
- Develop new financial models for strategic planning and valuation.
- Streamline data flows between operational systems and financial models.
- Prepare financial materials for debt funding processes.
- Deliver clear insights and scenario analyses to senior management.
- Support ad-hoc financial analysis for strategic initiatives.
Key Skills:
- Proven experience in advanced financial modelling.
- Strong background in corporate finance or FP&A.
- Prior exposure to debt fundraising or banking environments.
- Advanced Excel skills, including VBA.
- Excellent communication skills.
- Attention to detail and structured documentation approach.
- Qualified accountant (ACA / ACCA / CIMA) or CFA preferred.
Salary (Rate): undetermined
City: London Area
Country: United Kingdom
Working Arrangements: undetermined
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Finance
Overview Are you ready to start your career in a rapidly progressing company with service at the heart of everything we do? Then you’ve come to the right place. We are GC Partners and we are a specialist financial exchange company. We help Private and Corporate clients move their money at the best rate, using our 20 years of experience, our bespoke technology and dedication to customer service. We have 6 offices around the globe including Hong Kong and Dubai, with further expansion in the future. We have a fantastic opportunity for a Financial Analyst to join our busy and growing Finance Team. If you have a collaborative and adaptable work ethic, a drive for success and are looking for your next opportunity then we would like to hear from you.
Job Purpose Reporting to the CEO, as Financial Analyst you will be focusing on reviewing, refining, and rebuilding key financial models, as well as supporting management through an upcoming debt raise process. This is a hands-on role suited to an analytical, detail-driven professional with a strong understanding of corporate finance, financial modelling best practice, and lender requirements.
Duties/Responsibilities
- Financial Modelling
- Review and enhance existing financial models to ensure accuracy, robustness, and flexibility.
- Develop new models to support strategic planning, scenario analysis, and valuation work.
- Implement best-practice modelling standards, clear assumptions, and transparent outputs.
- Stress-test key business assumptions and support management in identifying financial sensitivities.
- Process & Performance Improvement
- Streamline data flows between operational systems and financial models.
- Recommend process improvements to improve forecasting accuracy and reporting efficiency.
- Develop standardised templates and documentation for financial models.
- Debt Raise Support
- Prepare financial materials and analysis required for debt funding processes.
- Build and maintain a lender-ready forecast model with covenant and ratio analysis.
- Liaise with advisors, banks, and investors, responding to due diligence queries.
- Support management in preparing presentations, term sheets, and financial summaries for funders.
- Reporting & Analysis
- Deliver clear, actionable insights to senior management and stakeholders.
- Prepare scenario analyses to inform capital structure and funding decisions.
- Support ad-hoc financial analysis for strategic initiatives.
Qualification & Experience Proven experience in advanced financial modelling (3-statement, project finance, or operational). Strong background in corporate finance, FP&A; or transaction support. Prior exposure to debt fundraising, banking, or private equity environments. Advanced Excel skills (including VBA and scenario tools desirable). Excellent communication skills, with the ability to explain complex models clearly. Attention to detail and a structured approach to documentation and version control. Qualified accountant (ACA / ACCA / CIMA) or CFA preferred but not essential. Previous experience working within an FCA regulated business or payment services business preferred but not essential.
Benefits of working at GC Partners 25 days of holiday per year, plus bank holidays Workplace pension – employer contributions Complimentary Health insurance Employee assistance programme A truly global business with opportunities for growth Equal opportunities GC Partners is an equal opportunity employer. We welcome applicants from all backgrounds and each applicant is given fair consideration throughout the recruitment process. Please be aware that due to the volume of applicants, we may not be able to respond to all applications.