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Capital Structure Analyst Jobs in Indiana (NOW HIRING)

Corporate Finance Tutor

Fort Wayne, IN ยท Remote

$18 - $40/hr

... analysis, and capital allocation frameworks. Guides students through building financial models, conducting comparable company analysis, evaluating merger synergies, structuring debt financing, and ...

... analysis, and capital allocation frameworks. Guides students through building financial models, conducting comparable company analysis, evaluating merger synergies, structuring debt financing, and ...

Corporate Finance Tutor

Bloomington, IN ยท Remote

$18 - $40/hr

... analysis, and capital allocation frameworks. Guides students through building financial models, conducting comparable company analysis, evaluating merger synergies, structuring debt financing, and ...

Corporate Finance Tutor

Indianapolis, IN ยท Remote

$18 - $40/hr

... analysis, and capital allocation frameworks. Guides students through building financial models, conducting comparable company analysis, evaluating merger synergies, structuring debt financing, and ...

Corporate Finance Tutor

Valparaiso, IN ยท Remote

$18 - $40/hr

... analysis, and capital allocation frameworks. Guides students through building financial models, conducting comparable company analysis, evaluating merger synergies, structuring debt financing, and ...

Commercial Asset Manager

Granger, IN ยท On-site

$50K - $150K/yr

Strong financial acumen and experience with budgeting, variance analysis, and lease administration ... the capital structure. We concentrate on several core asset classes, industrial, retail, medical ...

Finance Tutor

Valparaiso, IN ยท Remote

$18 - $40/hr

Deep knowledge of time value of money, financial statement analysis, capital budgeting, risk and return, portfolio theory, bond valuation, stock valuation, cost of capital, capital structure, and ...

Finance Tutor

Bloomington, IN ยท Remote

$18 - $40/hr

Deep knowledge of time value of money, financial statement analysis, capital budgeting, risk and return, portfolio theory, bond valuation, stock valuation, cost of capital, capital structure, and ...

Finance Tutor

West Lafayette, IN ยท Remote

$18 - $40/hr

Deep knowledge of time value of money, financial statement analysis, capital budgeting, risk and return, portfolio theory, bond valuation, stock valuation, cost of capital, capital structure, and ...

Finance Tutor

Indianapolis, IN ยท Remote

$18 - $40/hr

Deep knowledge of time value of money, financial statement analysis, capital budgeting, risk and return, portfolio theory, bond valuation, stock valuation, cost of capital, capital structure, and ...

Finance Tutor

Fort Wayne, IN ยท Remote

$18 - $40/hr

Deep knowledge of time value of money, financial statement analysis, capital budgeting, risk and return, portfolio theory, bond valuation, stock valuation, cost of capital, capital structure, and ...

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Showing results 1-20

Capital Structure Analyst information

What are the key skills and qualifications needed to thrive as a Capital Structure Analyst, and why are they important?

To thrive as a Capital Structure Analyst, you need strong analytical skills, a deep understanding of corporate finance principles, and typically a degree in finance, economics, or a related field. Familiarity with financial modeling tools such as Excel, Bloomberg Terminal, and valuation software, as well as certifications like CFA, are highly valued. Exceptional attention to detail, critical thinking, and effective communication are vital soft skills in this role. These abilities are crucial for evaluating, optimizing, and communicating a company's capital structure to ensure financial health and support strategic decision-making.

Is AI replacing financial analysts?

AI is transforming the role of financial analysts, including those in capital structure analysis, by automating data processing and financial modeling tasks. However, human judgment, strategic thinking, and interpretation remain essential, as AI tools are used to enhance decision-making rather than replace analysts entirely.

Can I be a financial analyst with no experience?

Becoming a financial analyst typically requires some relevant education, such as a degree in finance, accounting, or economics. Entry-level positions may accept candidates with limited experience if they demonstrate strong analytical skills, proficiency with tools like Excel, and relevant certifications such as the CFA Level I. Gaining experience through internships or related roles can improve chances of securing a financial analyst position without prior direct experience.

What does a Capital Structure Analyst do?

A Capital Structure Analyst evaluates a company's debt, equity, and other financing options to determine the most effective way to fund its operations and growth. They analyze balance sheets, assess risk factors, and provide recommendations on debt issuance, equity financing, and overall capital allocation. Their insights help ensure the company maintains financial stability while maximizing shareholder value. Capital Structure Analysts often work closely with finance teams, investment bankers, and executives to support strategic financial decisions.

What is the difference between Capital Structure Analyst vs Credit Analyst?

AspectCapital Structure AnalystCredit Analyst
Required CredentialsBachelor's degree in finance, accounting, or related field; certifications like CFABachelor's degree in finance, economics, or related; CFA often preferred
Work EnvironmentFinancial institutions, investment firms, corporate finance teamsBanks, credit rating agencies, financial institutions
Industry UsageFocuses on optimizing a company's debt and equity mixAssesses creditworthiness of borrowers and debt instruments

The main difference is that a Capital Structure Analyst concentrates on a company's debt and equity structure to optimize financial performance, while a Credit Analyst evaluates the credit risk of borrowers or debt instruments. Both roles require similar educational backgrounds and certifications but serve different functions within the financial industry.

What is a capital structure analyst?

A capital structure analyst is a finance professional who evaluates a company's mix of debt and equity financing to optimize its financial stability and cost of capital. They analyze financial statements, assess risk, and use financial modeling tools to recommend the best capital structure strategies for the organization.

What are some common challenges faced by Capital Structure Analysts when advising on optimal financing strategies?

Capital Structure Analysts often encounter challenges such as balancing the trade-offs between debt and equity financing, aligning strategies with the company's risk tolerance, and adapting recommendations to shifting market conditions. They must also navigate complex regulatory environments and ensure compliance with financial reporting standards. Effective collaboration with finance teams, legal advisors, and senior management is crucial to developing solutions that support both short-term liquidity and long-term growth objectives.

What does a capital analyst do?

A capital structure analyst evaluates a company's debt and equity mix to optimize its financial stability and cost of capital. They analyze financial data, create models, and provide recommendations to improve the company's capital structure, often using tools like Excel and financial databases. Strong analytical skills and understanding of finance principles are essential for this role.
What are popular job titles related to Capital Structure Analyst jobs in Indiana? For Capital Structure Analyst jobs in Indiana, the most frequently searched job titles are:
What cities in Indiana are hiring for Capital Structure Analyst jobs? Cities in Indiana with the most Capital Structure Analyst job openings:
Senior Analyst, Capital Analytics

Senior Analyst, Capital Analytics

The Heritage Group

Indianapolis, IN โ€ข On-site

$81K - $101K/yr

Full-time

Posted 9 days ago


Job description

About The Heritage Group
The Heritage Group is a fourth-generation, family-owned business focused on construction and materials, environmental services and specialty chemicals. Over the last 90+ years, the Heritage portfolio has grown to include more than 50 companies that employ more than 6,000 people. What unites this diverse group of businesses and individuals is our commitment to create a safer, more enriching, and sustainable world by harnessing the power of family.
The Senior Analyst, Capital Analytics supports The Heritage Group's ("THG") capital strategy through financial modeling, analysis, and reporting that informs capital allocation, liquidity planning, investment evaluation, and portfolio decisions. Sitting within Corporate Finance, the role helps build, maintain, and enhance financial frameworks that quantify value, risk, liquidity, and return tradeoffs. The role partners with FP&A, M&A, and operating company finance teams to support disciplined, data informed decision making across THG.
*This position is hybrid, located at our Indianapolis, IN office. Qualified candidates must currently reside or be within 75 miles of the Indianapolis, IN area*
Essential Functions
  • Build and Maintain Dynamic Financial Models:
  • Maintain and enhance THG's capital allocation and forecasting models
  • Build and update scenario-based cash flow models and capital evaluation tools under established frameworks
  • Track performance metrics and build visualizations that communicate value, risk, liquidity, and return tradeoffs
  • Maintain consistency, documentation, and traceability across capital models
  • Provide Insights on Capital Efficiency:
  • Analyze capital efficiency using return on capital, risk-adjusted return metrics, and related performance measures
  • Maintain WACC, hurdle rate, and return benchmarks to support capital deployment decisions
  • Prepare analysis that compares investment opportunities, capital needs, expected returns, and liquidity implications
  • Support Liquidity and Balance Sheet Planning:
  • Collaborate with FP&A to update liquidity, cash flow, and balance sheet forecasts
  • Analyze capital availability, investment pacing, and credit facility utilization under various scenarios
  • Prepare analysis and materials that support capital structure, financing strategy, and balance sheet planning discussions
  • Identify key sensitivities, risks, and assumptions for review with Corporate Finance leadership
  • Cross-functional Collaboration and Communication:
  • Build effective working relationships with Corporate Finance, FP&A, M&A, and operating company finance teams
  • Prepare concise summaries, visualizations, and presentation materials for THG leadership and Board-level discussions
  • Support valuation-related analysis and help integrate outputs into planning tools
  • Contribute to analytical best practices, model documentation, and process improvement within Corporate Finance
  • Share knowledge and help improve repeatability of key analyses
  • Additional duties and responsibilities as assigned, including but not limited to continuously growing in alignment with the Company's core values, competencies, and skills.

Education Qualifications
  • Required Bachelor's Degree or Master's in Business, Finance, Accounting, Economics, Data Analytics or related field

Experience Qualifications
  • Required 3 to 5 years of experience in Corporate Finance, FP&A, Treasury, or other highly analytical finance roles
  • Required strong financial modeling skills, including experience with financial statements, cash flow forecasting, scenario analysis, valuation, or investment return analysis
  • Required working knowledge of corporate finance concepts, including cost of capital, capital structure, liquidity, valuation, and return metrics

Skills and Abilities
  • Critical skills:
  • Quantitatively oriented with strong interest in financial modeling, analysis, and problem-solving
  • Strong Excel and financial modeling skills; familiarity with Power BI, Python, or other analytics tools a plus
  • Able to work with incomplete or imperfect information and clearly identify assumptions, risks, and data gaps
  • Strong organizational skills with ability to manage multiple analyses and deadlines
  • Proven ability to manage sensitive and confidential information
  • Resourceful, detail-oriented, and intellectually curious
  • Communication:
  • Ability to synthesize analysis into clear insights, implications, and recommendations, especially in written format
  • Comfortable explaining analytical work, defending assumptions, and incorporating feedback
  • Communicates proactively with stakeholders to clarify expectations, timelines, and open questions
  • Ability to build strong working relationships across finance and business teams

Working Conditions/Physical Demands
  • Work is primarily performed in an office or professional setting using standard business equipment; hybrid or remote work may be available based on role and business needs.
  • Work is generally performed during standard business hours; occasional extended hours may be required to meet business or project demands.
  • Minimal travel expected; occasional travel for meetings, training, or company events may be required.

All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.
#TheHeritageGroup