Financial Analyst
LIQUiDITY
Accounting & Finance, IT
Abu Dhabi - United Arab Emirates
Description
Liquidity is the world's leading AI-powered private credit firm, pioneering a new standard in growth capital through a nexus of the sharpest minds in private credit and technology. With a global reach and regional expertise in every key market across North America, Europe, APAC and MENA, Liquidity supports visionary growth and mid-market companies in 45+ sectors, deploying multi-billion-dollar capital with unmatched speed, precision and adaptability. Powered by breakthrough decision science technology that deploys growth capital faster than any firm in capital markets history, Liquidity clears the path for innovative companies to move further, faster and at scale. Built on trust, Liquidity is backed by leading financial institutions including MUFG Bank Ltd., Spark Capital and KeyBank.
About the Role:
Liquidity is seeking a Junior Financial Analyst to join our global credit team in Abu Dhabi. This is a front-office investment role focused on underwriting, financial analysis, and supporting credit and structured financing transactions. You will work closely with investment professionals on live deals across venture debt and growth credit.
The role is best suited for candidates from investment banking, corporate finance, transaction advisory, or credit-focused roles who want to move into private credit / venture debt investing.
Responsibilities:
- Analyze financial statements, business models, and cash flows
- Stress-test financial and credit models under different scenarios
- Support underwriting and investment memo preparation
- Assist in due diligence and transaction execution
- Monitor portfolio companies from a credit risk perspective
- Use internal tools and data platforms to support investment decisions
Qualifications:
- 1–3 years experience in Investment Banking, Corporate Finance, Big 4 Transaction Advisory, or Credit / Debt Funds. Strong advantage: structured credit / private credit / venture debt exposure.
- Strong financial modeling (3-statement, cash flow, debt)
- Strong understanding of corporate finance and financial statements
- Credit and risk analysis mindset
- Strong Excel skills and attention to detail
- Fluent English (written and spoken)
