Full Time
700-1000
TBD
Jul 27, 2026
We help Americans buy profitable businesses so they can build real wealth and escape the corporate 9–5 grind. We are a lean, analytical remote team focused on disciplined underwriting and smart deal structuring.
Our core values are Team-First Performance, Perfect Professionalism, and Mastery Through Feedback. We challenge assumptions, communicate clearly, and constantly refine our thinking.
As a Financial Analyst, you sit at the center of deal viability. You build valuation models, normalize earnings, evaluate risk, and design structures that balance lender requirements and buyer outcomes. This role is about clarity, rigor, and protecting deal economics before capital is deployed.
About the Role
We’re looking for a sharp, proactive financial analyst to support valuation and deal structuring across the pipeline. You’ll oversee modeling workflows, ensure financial accuracy, refine assumptions, and jump in during valuation, LOI development, and structuring conversations to ensure deals are financeable and cash-flow sound. Your work directly shapes whether a deal moves forward and how it gets structured.
Results / Success Metrics
Financial models and deal analyses are accurate, actionable, and delivered on time
Clear recommendations on deal viability and structure are provided to internal teams
Deal structures balance cash flow, lender requirements, and buyer outcomes
Improvements to modeling workflows and templates are identified and implemented
Minimal errors or rework in financial assessments
Responsibilities
Analyze incoming deals to determine debt service capacity and acquisition feasibility
Build valuation models using templated frameworks, incorporating seller financials, add backs, and key assumptions
Assess deal viability, evaluating cash flow potential and return expectations under realistic financing scenarios
Develop 1–3 deal structure options that balance cash flow, lender requirements, and buyer outcomes
Support internal presentations and review of deal economics and structure
Identify opportunities to refine and improve financial models and analytical workflows over time
Requirements
2+ years of experience in M&A, investment banking, accounting, private equity, or closely related financial roles
Hands-on experience building or working with financial models
Familiarity with reviewing P&L statements, balance sheets, add backs, and normalized earnings
Strong analytical ability with intellectual rigor and sound financial judgment
Excellent written and verbal communication skills
Comfortable evaluating and discussing deal economics and structures
Nice to Have
Self-starter mindset with desire to continuously improve technical and analytical skills
Experience supporting fast-paced deal teams or remote work environments
Motivation to grow into increased responsibility or team leadership
Why Join Us
Direct exposure to live acquisitions with a clear path to increased responsibility and leadership
Opportunity to participate in equity and profit sharing as the firm grows
Fully remote work with a lean, high-performing team
Meaningful impact on deal evaluation and execution