Execute pan-European private equity and mezzanine transactions (€3m–€50m) across services and software companies, with full hands-on responsibility from initial screening to closing. Build detailed financial models from scratch (3-statement models, cash flow waterfalls, leverage and returns analysis), including sensitivities, downside cases and valuation scenarios. Lead end-to-end deal execution, covering: financial, legal and operational due diligences, data room review and synthesis, transaction structuring (equity, mezzanine, governance), negotiations with sellers, lenders and advisors. Prepare investment memoranda, IC materials and valuation frameworks used for final investment decisions. Active involvement in post-acquisition performance monitoring, including board participation or observer roles. Completed transactions include acquisitions in B2B software, fintech, healthcare software, professional services and asset management. Regular exposure to complex capital structures, covenant analysis, cash-flow forecasting and debt documentation.
Originated, evaluated and executed growth equity and private equity investments (€1m–€30m) across consumer, healthcare, SaaS and circular economy sectors. Built robust financial models from scratch to assess: scalability, profitability and cash generation, valuation and return profiles, acquisition and build-up strategies. Led financial and strategic due diligences, including market sizing, competitive analysis and operational diagnostics. Presented investment recommendations and valuation analyses to Investment Committee. Served as Board member or observer in multiple portfolio companies, supporting: financial performance tracking (revenue, EBITDA, cash flow), M&A execution and post-merger integration, governance and capital allocation decisions. Worked closely with founders and management teams on financial reporting, budgeting, refinancing and growth strategy.
Delivered buy-side and sell-side financial due diligences for Private Equity funds and corporates across multiple industries. Built cash-flow forecasts, liquidity models and working capital analyses to assess financial risk and transaction feasibility. Reviewed financial statements, quality of earnings and debt structures in M&A and restructuring contexts. Produced client-ready financial analyses supporting investment and divestment decisions.