Release Analyst – M&A Fund Distribution

Posted 16 hours ago
$65K - $75K / year

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Job Description

Release Analyst | SRS Acquiom

The Tone:
This is a position at SRS Acquiom, available as either a hybrid role based in Denver, CO, or fully remote within the Continental United States. SRS Acquiom delivers solutions designed to help deal parties manage complex M&A and loan agency transactions more efficiently, providing services like professional shareholder representation, paying and escrow agent services, and online document management. The Release Analyst plays a critical role in the post-closing phase of M&A deals, taking the details of completed transactions and managing the intricate process of distributing funds to shareholders. This work requires meticulous attention to detail and strong organizational skills to ensure efficient and accurate financial outcomes for clients. The company is committed to building careers and solutions, offering a culture that supports growth and innovation.

The TL;DR
• Role: Early Career
• Type: Full-time
• Location: Remote
• Pay: $65000–$75000 yearly
• Mission: To accurately manage the distribution of funds to shareholders in M&A deals by tracking multiple moving parts, interpreting complex financial data, and coordinating across various stakeholders.
• Tech Stack: NetSuite, Excel

What You’ll Actually Do
• Project Management: Oversee multiple post-closing M&A deals simultaneously, tracking each through its phases and ensuring progress.
• Data Interpretation: Review and accurately interpret complex capitalization tables and financial models from diverse sources.
• Cross-functional Collaboration: Partner with internal Compliance, Client Services, and Payments teams, and external banks, to coordinate steps and resolve issues.
• System Accuracy: Ensure NetSuite, the company’s system of record, precisely reflects finalized financial figures for each deal.
• Client Communication: Provide clear and professional updates and information to clients and internal colleagues through written communication and calls.

The Must-Haves
• Background: Bachelor’s degree from an accredited university. This is an early career role focused on managing detailed post-closing M&A financial processes.
• Experience: Not specified, but experience in a client-facing or professional service environment is beneficial.
• Skills: Advanced Excel proficiency, including comfort with complex formulas, pivot tables, and the interpretation of varied data sets; strong organizational abilities necessary for managing multiple concurrent projects effectively; close attention to detail, particularly when handling sensitive financial data; and the capability to work independently while meeting deadlines.
• Bonus: Experience with NetSuite and project management experience.

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