The Corporate Finance Manager will be essential in driving capital mobilization for Cavista Holdings and its portfolio companies. This dynamic role involves crafting high-quality investment presentations that transform business operations into engaging, investor-ready financial narratives. The manager will oversee all necessary documentation, financial models, and materials to secure debt, equity, grants, and structured financing.This position will collaborate with leadership to strategically position Cavista Holdings and its portfolio businesses for funding opportunities, partnerships, and sustainable growth.The ideal candidate will possess a robust background in investment banking, corporate finance, or transaction advisory, with a proven ability to articulate complex business operations into compelling financial and strategic narratives.Key Responsibilities:Lead the creation of investor-grade pitch decks and investment memoranda for funding requests across Cavista Holdings and its portfolio companies.Develop comprehensive financial models, forecasts, and valuations to facilitate capital raising efforts, working closely with business leaders to translate operational data into coherent financial stories for investors and lenders.Prepare documentation for equity, debt, grants, and structured financing opportunities.Support engagement with banks, Development Finance Institutions, private equity firms, venture capital firms, and institutional investors.Coordinate due diligence materials, data rooms, and responses to investor inquiries.Assist in negotiating funding terms and deal structures.Conduct financial feasibility assessments for new projects and expansion initiatives.Provide support for Merger & Acquisition analysis, valuations, and transaction execution as necessary.Deliver strategic financial insights to inform leadership decision-making across portfolio companies.Monitor market trends, funding opportunities, and relevant financing instruments within Cavista Holdings’ portfolio sectors.Build and sustain detailed financial models for multiple business units.Conduct scenario analyses, sensitivity testing, and risk assessments.Ensure financial projections are consistent with operational realities and growth strategies.Offer advisory assistance to leadership on capital structure, funding strategies, and financial positioning.
Jan 28, 2026