Functional Skills

Financial Due Diligence
Financial Management
Financial Modeling
Restructuring / Turnarounds
Risk Management
Valuation
Acquisition Target Identification
Corporate Finance
Private Equity Investing
M&A Support

Software Skills

Microsoft Excel
Microsoft Word

Sector Experience

Financial Services

Languages

English
Dutch
Case Study
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Case Studies

financeAccounting
Credit analysis and structured working capital financing for European SME`s
Financial Services Accounts Receivable Business Analysis Financial Due Diligence
corporateStrategyDevelopment
Go to market presentation to raise funding for FinTech driven trade finance fund
Financial Services Business Analysis Value Propositions Development Risk Management
financeAccounting
Company valuation for M&A transaction
Business Services Valuation Business Analysis Financial Due Diligence

Bulge Bracket Investment Banks
Fortune 500

Experience

Abri Advisors Ltd Research
Head of Analytics/Co Sponsor of SPAC
9/2019 - Present
Selection, valuation, and due diligence of mergers & acquisitions.
Assessment of private debt and equity investment opportunities.

Channel Capital Advisors LLC Finance
Partner
9/2012 - 6/2019
Established and implemented risk management policies for structured trade finance investments, including Sharia compliant funds. Instrumental in the acquisition and risk management of a European FinTech platform providing receivables financing for SME’s. Arranged restructuring and acquisition financing for European SME`s. Leveraged Loans and Distressed advisory for leading Canadian hedge fund.

Talisman Capital S.A. Other
Co-Manager/Partner
6/2010 - 6/2012
Managed high yield and distressed debt portfolio.

SGS Asset Management Other
Managing Director
9/2005 - 6/2010
Co-managed a global multi-strategy hedge fund employing event - driven credit strategies; distressed investing; capital structure arbitrage; and structured corporate credit, including CLO’s, CDO’s, and correlation strategies. Managed a global team of 14 analysts and traders based in North America, Hong Kong, and Switzerland.

Lazard Freres & Co LLC / Lazard Asset Management Other
Portfolio Manager
5/1995 - 5/2003
Managed global (US and European) High Yield portfolios for institutional investors exceeding $1 billion in total assets under management. Established an 8-year track record with an annualized unlevered return of 7.1% outperforming the High Yield benchmark by 260 basis points. Generated an Information Ratio of 0.82.

Natwest Group Other
Senior Vice President
9/1986 - 6/1995
Managed high yield and distressed proprietary trading desk.

Bank of America Finance
Vice President
9/1980 - 9/1986
Agented and structured bank financing for leveraged acquisitions.