Manager| Capital and Portfolio Management
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Qualified CA(SA) with 5+ experience in the areas of Corporate Finance, Investment Valuations, capital allocation, portfolio management, M&A and investment due diligence, and FP&A with a focus on the telecommunications (TMT) industry. Currently a Manager in Group Capital Management, supporting group-level investment through DCF and WACC based valuations, capital portfolio optimisation, and strategic analysis across multiple operating companies in emerging markets. Strong exposure to infrastructure-heavy, capital-intensive businesses, with a demonstrated ability to partner with senior stakeholders and support transaction execution.
Qualified CA(SA) with 5+ experience in the areas of Corporate Finance, Investment Valuations, capital allocation, portfolio management, M&A and investment due diligence, and FP&A with a focus on the telecommunications (TMT) industry. Currently a Manager in Group Capital Management, supporting group-level investment through DCF and WACC based valuations, capital portfolio optimisation, and strategic analysis across multiple operating companies in emerging markets. Strong exposure to infrastructure-heavy, capital-intensive businesses, with a demonstrated ability to partner with senior stakeholders and support transaction execution.
Master of Management in Finance and Investments 2023
Core Modules: Corporate Finance and Financial Statement Analysis, Investments, Finance Macro-Environment Analysis, and Applied Financial Econometrics.
Electives: Asset Management and Portfolio Formation, Derivatives, Debt Structured Contracts, Investment Banking and Primary Market, and Models, Forecasting and Risk Management.
Research: The effect of Mergers and Acquisition on the Share Price of JSE Listed Companies.