Senior Business Analyst – Private Equity Valuations
About the role
Pay Range: CAD 65-70/hr Role Descriptions: Key ResponsibilitiesOwn the process mapping for the end-to-end multiple determination workflow inputs| transformations| outputs| and dependencies between storiesLiaise between the engineering team and the PE Valuations Valuation Group stakeholders to resolve open design decisions (e.g.| smoothing policy| PitchBook feasibility| Athena timing gap)Define and refine acceptance criteria for each story in collaboration with the PE Valuations team ensuring outputs match deal team model expectationsDesign the human-in-the-loop review gates what information is surfaced to analysts| how overrides are captured| and how analyst sign-off flows through the systemManage the Data Schema reference document field definitions| mandatory vs. optional classifications| source hierarchy rules| and controlled vocabularies (Sector| Subsector| Business Model| Geography)Coordinate with Crystal deal teams on the Deal Team structured data entry mechanism and unstructured input formatsValidate prototype outputs against real deal team models for accuracy and auditabilityDefine configurable parameters (tolerance thresholds| recency windows| EBITDA margin thresholds) and document their rationaleRequired SkillsDeep domain knowledge of PE valuations trading comps| precedent transactions| EV bridges| multiple selectionExperience writing structured requirements and acceptance criteria for data-intensive financial toolsFamiliarity with IFRS fair value measurement and audit-readiness requirementsStakeholder management across deal teams| valuation groups| and engineeringData modelling and schema design (JSON output structures| rolling records)UAT coordination and test case design for financial accuracy validation Essential Skills: Deep domain knowledge of PE valuations trading comps| precedent transactions| EV bridges| multiple selectionExperience writing structured requirements and acceptance criteria for data-intensive financial toolsFamiliarity with IFRS fair value measurement and audit-readiness requirementsStakeholder management across deal teams| valuation groups| and engineeringData modelling and schema design (JSON output structures| rolling records)UAT coordination and test case design for financial accuracy validation