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Archipelago Capital Partners

Investment Analyst

2-4 Years
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  • Posted 17 hours ago
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Job Description

Location

Based in Singapore; travel across Southeast Asia as required

KEY RESPONSIBILITIES

Analytical

–   Build and own LBO, DCF, and M&A financial models from scratch

–   Run valuation analyses including comparable companies, precedent transactions, and sum-of-the-parts

–   Conduct scenario and sensitivity analyses to stress-test investment assumptions and returns

–   Execute financial due diligence: historical financial analysis, working capital review, and normalisation

–   Prepare comparable company and transaction analyses to support exit valuation

Communication & Documentation

–   Draft sections of IC memos including industry background, company overview, and financial history

–   Produce supporting charts, tables, and data slides for presentations

–   Prepare LP reporting materials, fund update decks, and portfolio review materials

–   Compile and summarise findings from external advisors into clear, structured notes

–   Support preparation of management presentation materials for the exit process

Research & Market Intelligence

–   Compile market maps and sector landscape analyses to identify potential investment targets

–   Monitor key KPIs and competitive dynamics across covered sectors

–   Research inbound opportunities and flag those that meet the firm's investment criteria

–   Help compile data for value-creation workstreams including add-on acquisition screening and operational benchmarking

Process & Operations

–   Maintain and update the deal pipeline tracker and CRM records

–   Organise and manage the data room; maintain the diligence checklist and track outstanding items

–   Track buyer process timelines and manage document requests during the sale process

–   Collect monthly and quarterly reports from portfolio companies; update performance dashboards

–   Manage document version control, formatting consistency, and file organisation across deal folders

–   Maintain accurate and up-to-date records across all portfolio company files and reporting

QUALIFICATIONS& EXPERIENCE

–   2–4 years working experience preferred

–   Bachelor's degree or above, Business, Finance, Economics, or Accounting preferred

–   Strong financial modelling skills

–   Familiarity with AI-enabled tools and ability to apply them effectively in research, analysis, documentation, and workflow improvement.

–   Ability to conduct due diligence in companies, analytical and quantitative with grounding in finance.

–   High attention to detail; ability to manage multiple workstreams in a fast-paced environment

–   Proficiency in English, fluency in other languages is a plus

COMPENSATION & BENEFITS

–   Competitive base salary benchmarked against top-tier PE and investment banking pay scales

–   Comprehensive health, dental, and vision coverage

–   Annual learning & development budget

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Job ID: 150718299

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