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Mergers and Acquisitions Risk Management Director

2 months ago


Windsor, Windsor and Maidenhead, United Kingdom Centrica Full time
About the Role

We are seeking a highly skilled Risk Management Specialist to join our team at Centrica. As a key member of our Group Financial Risk team, you will play a critical role in understanding and communicating the financial risks associated with M&A activity.

Key Responsibilities
  • Manage internal team members and support the development of M&A risk analysts
  • Evaluate business cases and provide independent challenge to fully understand the inherent risks and mitigations associated with deals
  • Ensure efficient and effective due diligence has been carried out
  • Build relationships with M&A Transaction team, Treasury, and Corporate Finance
  • Coordinate with wider risk team for specialist input as required
  • Prepare regular updates for the Group CRO, summarizing key risks and progress updates on live transactions
  • Review data provided by the M&A transaction team, including briefing materials, due diligence, risks register, and dataroom, as appropriate
  • Evaluate the risks associated with M&A transactions, including buy-side transactions, sell-side transactions, joint ventures, and partnerships
  • Validate M&A financial models used for valuing assets and financial impact analysis, providing an independent perspective of key financial risks
  • Lead the development of appropriate risk metrics and the calculation of Risk Capital associated with the M&A deal pipeline
  • Ensure deal pipeline and anticipated risk capital requirements captured in shape and risk reporting processes
  • Develop strong work relationships with the different Business Unit Risk teams
  • Presentations to senior team members, senior executives of Business Units, and/or Centrica Group executives relating to financial risks associated with M&A transactions under consideration
  • Present risk review papers at the Financial Risk Management Committee
Requirements
  • Several years of commodity price risk management experience, ideally gained in the energy commodity space
  • Ideally having experience in M&A, business development, and corporate finance transactions
  • Experience in dealing with Senior Executives directly or their key team members
  • Strong interpersonal skills, with good stakeholder management and ability to effectively challenge the business
  • Strong verbal and written communication skills, able to produce high-quality output with minimal supervision
  • Well-organized, proactive, and hands-on to manage multiple projects to aggressive timelines
  • Highly analytical, able to assess large volumes of complex information and distill the key themes for presentation to the Exec and Board
  • Good attention to detail
  • Confident, resilient, and pragmatic, comfortable dealing with uncertainties and incomplete information
  • Graduate degree in an analytical/quantitative field (e.g., mathematics, quantitative finance, operational research, science, engineering, etc.)
  • Strong understanding and ability to apply corporate finance theory