Financial Modeler - Hybrid
- Hiring from
- Philippines
- Work type
- Remote
- Posted
- Sep 25, 2026
Join the enablesGROUP – Where Talent Meets Opportunity!
Why Join enablesGROUP?
Since 2016, enablesGROUP has been on a mission: to deliver high-quality operations and outsourcing services to every client, big or small.
Fast forward to 2026, we’ve grown our global footprint to serve 100+ clients and expanded into 4 key industries. At enablesGROUP, you’re not just joining a company – you’re joining a community that values growth, learning, and success. Check us out at www.enablesgroup.com.
At enablesGROUP, you’re not just joining a company – you’re joining a community that values growth, learning, and success.
We have market leading engagement scores and invest heavily in your Learning and Development, with a specific focus on enhancing your ability to leverage AI in your daily tasks.
Our Perks & Benefits include:
- Comprehensive health and life insurance starting Day 1, covering 2 eligible dependents.
- 20 leave credits for vacation and emergency.
- Endless opportunities for career advancement with annual performance reviews and salary increases.
- Company-provided laptop to set you up for success.
- Convenient office location in Pasig, at the heart of Manila, accessible to all.
- Loyalty rewards: Employees celebrating 5 years could receive a profit-sharing scheme.
- In-house learning & development programs with access to the latest in AI and technology.
Job Title: Financial Modeler
Location: Ortigas, Pasig, PH
Work Schedule: Monday to Friday, 3:00 PM to 12:00 PM PH Time (Hybrid | 3x Onsite, 2x WFH)
Job Summary
We are looking for a highly analytical and detail-oriented Financial Modeler to develop and maintain sophisticated financial models that support forecasting, budgeting, valuation, investment analysis, and strategic business decisions. The ideal candidate has strong financial modelling and Excel skills, with the ability to translate complex financial data into clear and actionable insights.
Key Responsibilities
- Build and maintain detailed financial models for forecasting, budgeting, valuation, investment analysis, and business planning.
- Develop integrated Profit & Loss, Balance Sheet, and Cash Flow models, including detailed assumptions and supporting schedules.
- Perform DCF, NPV, IRR, and comparable company analysis to support investment and strategic decisions.
- Conduct scenario and sensitivity analysis to assess the potential impact of key assumptions and business drivers.
- Analyse historical financial data and develop revenue, cost, cash flow, and profitability forecasts.
- Build robust Excel-based financial models using advanced formulas, PivotTables, Power Query, and other data analysis tools.
- Prepare financial models to support M&A transactions, project finance, fundraising, valuations, and business planning.
- Validate model outputs, identify inconsistencies or errors, and perform model checks, reconciliations, and quality assurance.
- Present complex financial analysis and modelling outputs clearly to senior management, investors, and key stakeholders.
- Review and improve existing financial models through automation, improved model structure, enhanced functionality, and streamlined reporting processes.
- Collaborate with finance and business stakeholders to understand financial drivers and translate them into meaningful modelling assumptions and outputs.
Key Requirements
- Bachelor's degree in Finance, Accounting, Economics, Business, or a related field.
- Proven experience in financial modelling, FP&A, investment analysis, corporate finance, valuation, or a similar role.
- Strong understanding of financial statements and the relationship between P&L, Balance Sheet, and Cash Flow.
- Advanced Microsoft Excel skills, including complex formulas, PivotTables, Power Query, and financial modelling techniques.
- Hands-on experience with DCF, NPV, IRR, comparable company analysis, scenario analysis, and sensitivity analysis.
- Strong analytical, problem-solving, and attention-to-detail skills.
- Ability to work with large datasets and translate financial information into actionable insights.
- Strong communication and presentation skills, with the ability to explain complex financial concepts to non-finance stakeholders.
- Experience supporting M&A, project finance, fundraising, investment analysis, or strategic planning is highly desirable.
Preferred Skills
- Experience with financial modelling standards and best practices.
- Knowledge of Power BI, VBA, Python, or other automation/data analytics tools is an advantage.
- Experience working with Australian, UK, or other international financial reporting environments is a plus.
- Strong commercial awareness and understanding of key business and financial drivers.