Negotiable
Undetermined
Remote
EMEA
Summary: The role of Investment Banking Analyst (M&A) focuses on sourcing and validating finance transaction documents in a remote setting. The position requires a commitment of 10 to 40 hours per week and involves ensuring compliance with legal standards while maintaining detailed records. Candidates must possess strong experience in private equity, M&A, or related fields, and demonstrate exceptional attention to detail.
Key Responsibilities:
- Source and provide eligible finance transaction documents including CIMs, SIMs, SPAs, PPMs, board decks, and management presentations.
- Verify that all submitted materials are compliant and free from NDA, MNPI, or proprietary restrictions.
- Maintain detailed metadata records including transaction type, industry, and deal structure.
- Classify transaction documents based on financial and deal context.
- Collaborate with compliance and operations teams to ensure sourcing accuracy and legal eligibility.
- Exercise sound judgment in distinguishing public versus restricted financial information.
- Communicate professionally regarding document sourcing, validation, and submission workflows.
Key Skills:
- Strong experience in private equity, M&A, investment banking, corporate development, or transaction advisory.
- Hands-on familiarity with transaction and deal-related documentation.
- Ability to identify legally shareable materials and compliance-sensitive information.
- Exceptional attention to detail in document review and classification.
- Strong organizational and record-management skills.
- Ability to work independently in a remote, fast-paced environment.
- Commitment to maintaining compliance and sourcing integrity.
Salary (Rate): undetermined
City: undetermined
Country: undetermined
Working Arrangements: remote
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
Position: PE / M&A Document Sourcing Expert
Type: Hourly contract
Compensation
Location: Remote
Commitment: 10 40 hours/week
Role Responsibilities
- Source and provide eligible finance transaction documents including CIMs, SIMs, SPAs, PPMs, board decks, and management presentations.
- Verify that all submitted materials are compliant and free from NDA, MNPI, or proprietary restrictions.
- Maintain detailed metadata records including transaction type, industry, and deal structure.
- Classify transaction documents based on financial and deal context.
- Collaborate with compliance and operations teams to ensure sourcing accuracy and legal eligibility.
- Exercise sound judgment in distinguishing public versus restricted financial information.
- Communicate professionally regarding document sourcing, validation, and submission workflows.
Requirements
- Strong experience in private equity, M&A, investment banking, corporate development, or transaction advisory.
- Hands-on familiarity with transaction and deal-related documentation.
- Ability to identify legally shareable materials and compliance-sensitive information.
- Exceptional attention to detail in document review and classification.
- Strong organizational and record-management skills.
- Ability to work independently in a remote, fast-paced environment.
- Commitment to maintaining compliance and sourcing integrity.
Application Process (Takes 20 Min)
- Easy Apply on LinkedIn
- Check email for next steps
- Participate in resume evaluation & interview stage