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Corporate Finance Analyst (SQL/Python)

Posted 1 day 16 hours ago by Treliant

Permanent
Not Specified
Other
Belfast, United Kingdom
Job Description
Overview

Treliant is a global consulting firm serving banks, mortgage originators and servicers, FinTechs, and other companies providing financial services. We are led by practitioners from the industry and the regulatory community who bring deep domain knowledge to help our clients drive business change and address the most pressing compliance, regulatory, and operational challenges.

We provide data-driven, technology-enabled advisory, implementation, and staffing solutions to the regulatory compliance, risk, financial crimes, and capital markets functions of our clients.

Founded in 2005, Treliant is headquartered in Washington, DC, with offices in New York, London, Belfast, and Łódź, Poland.

Treliant is committed to fostering a diverse, equitable and inclusive environment that values and embraces all races, religions, ages, abilities, gender, sexual orientations, ethnicities, languages, nationalities, political parties, socioeconomic groups and other characteristics that inform an individual worldwide view and experiences and systems of beliefs ("the principles"). We believe in championing every voice and ensuring everyone's full potential.

Treliant has recently been acquired by Huron Consulting Group, which is strategically expanding its European footprint. As part of this growth, Huron is establishing a Corporate Finance presence in Belfast. We're currently building a talent pool to support future hiring needs.

Responsibilities

While the scope of each project may be different, your duties & responsibilities may include:

  • Analyse and evaluate financial statements, including income statements, balance sheets, and cash flow statements.
  • Develop and execute financial models to support client decision-making, including valuation, pro-forma modelling, and discounted cash flow analysis.
  • Translate complex financial concepts into clear, actionable insights for senior stakeholders.
  • Support financial capital forecasting and cash flow planning.
  • Prepare and interpret financial reports and client-ready presentation materials.
  • Assess operational efficiency and overhead cost structures.
  • Collaborate with internal teams and clients to implement financial strategies and process improvements.

For candidates with senior-level experience, additional responsibilities may include:

  • Lead complex financial workstreams while guiding clients through strategic challenges and delivering impactful solutions.
  • Build robust financial models and apply valuation techniques to identify key performance drivers and support decision-making.
  • Financial forecasting and analysis, including short-term cash flow planning, preparing and interpreting reports, evaluating operational efficiency, analysing overhead costs, and developing client-ready presentation materials
  • Evaluate core financial statements and drive short-term cash flow planning and operational efficiency assessments.
  • Mentor and develop junior talent to foster a collaborative, high-performing team environment.

For further information and to submit your application, click the apply icon.

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