Financial modelling expert - US based fintech
ExperienceJunior (0-5 years) | Mid Level (6-10 years)
Est. StartImmediate Start
Duration6 Months
fintechfintech
On site
IndiaIndia
Required Skills
Financial Modelling
Risk Modelling
Risk Management
Project Overview

A leading fintech company is hiring finance experts to build, review, and improve high-quality financial modelling work. This is a remote role and can be full-time or part-time depending on availability and fit.

This role forms part of the fintech’s initiative to strengthen modelling standards and analytical capabilities for real-world finance challenges in dynamic digital finance environments.


As a consultant, you will build, review, and refine sophisticated models that translate messy source data, business realities, transactions, forecasts, and financing structures into clear, defensible analytical frameworks - directly impacting investment decisions, credit assessments, risk management, and strategic planning.


Key Responsibilities

  • Build detailed financial models from scratch across domains including Private Credit, Real Estate, Private Equity, Debt Capital Markets, Asset-Based Lending, Asset-Backed Securities, and Corporate Finance/FP&A.
  • Review and enhance models developed by other experts, identifying weak assumptions, broken logic, missing schedules, and oversimplified analysis.
  • Develop realistic scenarios, assumptions, and supporting materials, including revenue, cost, working capital, capex, debt, covenant, valuation, and sensitivity schedules.
  • Transform incomplete or messy information into structured, high-integrity analytical outputs.
  • Clearly explain and defend modeling choices, logic, and key drivers to stakeholders.
  • Contribute to the creation or improvement of modeling best practices, tests, case studies, or training materials where relevant.


Your Background

  • 2–8+ years of hands-on, relevant finance experience with a proven track record of personally owning and building real financial models (not just template work or formatting).
  • Deep domain exposure in at least one of the following: private credit, credit, real estate, private equity, debt capital markets, risk, asset-based lending, asset-backed securities, quantitative finance, corporate finance/FP&A, investment banking, or valuation.
  • Advanced Excel modeling skills and expert-level understanding of core finance concepts including cash flow, valuation, leverage, liquidity, capital structure, and domain-specific mechanics.
  • Demonstrated ability to work independently with ambiguous problems, messy data, and high-stakes analytical deliverables.
  • Strong attention to detail combined with clear written and verbal English communication skills.
  • Nice-to-have: Experience in debt, restructuring, commercial real estate, structured finance, or familiarity with AI tools, automation, and data workflows.


Other Info

This is a fully remote opportunity available on a full-time or part-time basis depending on availability and fit. Projects are flexible with potential for ongoing engagement or extension based on performance and demand. Immediate or near-term start is preferred for strong candidates.

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