Tikehau Capital is a global alternative asset management group with €30.9 billion of assets under management (30 June 2021).
Tikehau Capital has developed a broad range of expertise in four asset classes (private debt, real assets, private equity, capital markets strategies) as well as strategies focused on multi-asset solutions and special situations.
Led by its co-founders, Tikehau Capital has a differentiating business model, a strong balance sheet, privileged access to global transaction opportunities and a solid track record in supporting high quality companies and executives.
Deeply rooted in the real economy, Tikehau Capital provides innovative, tailor-made alternative financing solutions to the companies it invests in and is committed to creating long-term value for its investors. With significant equity capital (€2.8 billion as of 31 December 2020), the Group invests its capital alongside its investor-clients in each of its strategies.
Controlled by its management, alongside leading institutional partners, Tikehau Capital is guided by a strong entrepreneurial spirit and DNA, shared by its 629 employees (as of 30 June 2021) spread across its 12 offices in Europe, Asia and North America.
The integration of ESG criteria is at the heart of the Group's asset management and investment strategy. At Tikehau Capital, we are proud of our inclusive working style and culture and believe that diversity and openness are key to thriving in a dynamic environment.
Tikehau Capital is listed on the Euronext regulated market in Paris, Compartment A (ISIN code: FR0013230612; Ticker: TKO.FP)
For more information: www.tikehaucapital.com
You will be fully integrated into the activity of the Private Debt team which manages €9.9 billion of assets (30 June 2021) and includes nearly 40 people across Tikehau Capital’s offices located in Paris, London, Brussels, Amsterdam, Frankfurt, Madrid, Milan, and New York.
You will benefit from a high degree exposure combined with significant responsibilities from day one in a global and renowned asset manager. Hence, you will actively participate in the following missions:
Participate in every deal’s steps from the NDA reception to the presentation in front of the Credit Investment Committee
Assist the team in new opportunities due diligence through sectorial and business model analysis, positioning and competitive environment and historical financial performance of the company
Prepare LBO financial modelling and company valuation
Contribute to the preparation of credit notes for the Investment Committee
Monitor existing investments (financial analysis, meetings with management) and prepare reports dedicated to investors
Currently pursuing or holding a degree from a top tier business, engineering school or university with a specialization in corporate finance
Good expertise of MS Office Pack
Strong knowledge of corporate finance. A previous experience in corporate finance (private equity/debt, leveraged finance, investment banking, transactional services, audit, etc.) is appreciated
Good analytical, synthesis and oral & written communication skills
Curiosity, dynamism, rigor, adaptability, team player
Fluent in French and English