Job Category: Accounting & Finance

Associate Corporate Strategy & Business Development (CN)

Job Location: NJ

The Corporate Strategy and Business Development Associate role is primarily to support the Director of Corporate Strategy and Business Development, the Chief Financial Officer and the Chief Executive Officer in the financial planning and analysis of the business and corporate finance, including capital raising, M&A and investor relations activities of the company.


Creating financial models in order to project the cash flow and profitability of the company. Delivering several scenarios of growth, margins, working capital and capital structure options. Working with key management to create an internal financial budgeting plan.

Building monthly, quarterly and annual budgets from scratch, and creating breakeven and returns analyses. Interacting with finance/ FP&A, sales team, marketing team and other operational teams to help develop budgeting analyses.

Integrating information from various businesses of the company into a single roll-up analysis. Presenting financial planning and analysis results to senior management including the Director of Corporate Strategy and Business Development, the CFO and the CEO. Assisting with reporting of SEC filings, including creating earnings releases, earnings presentations, earnings call scripts and any other required reporting activities of a publicly listed company. Developing all documentation, presentations, financial models, memos, etc. for any corporate finance (capital raising/M&A) activities of the company. Analyzing potential strategic acquisitions for the company, including performing valuation and accretion/dilution analyses. Creating ad hoc financial analyses to support the business. Marketing company to equity and debt investors.


Bachelor’s degree in Finance, Accounting, Economics or a related field from a top tier university. 2-5 years of related work experience in a corporate finance or business development role; investment banking background strongly preferred. Knowledgeability of the SEC requirements of a public company. Strong familiarity with capital markets and M&A processes. Must be proficient in Excel, Word and PowerPoint. Must be adept in developing financial models and performing technical analyses. Must be proficient at taking analyses and creating presentations that deliver a clear and concise messages and business cases; excellent written and oral communication skills. Excellent critical thinking skills.

Please contact Christian Narag at

110-130K + Bonus

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