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Geoffrey GolitinGG

Average response time: 1 hour

Freelancer profile translated to English.
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About Geoffrey

Thanks to my experience in M&A, corporate finance, and treasury, I offer comprehensive support combining strategic vision 🧭, financial structuring 📊, and operational execution ⚙️.
My goal: transform your project into a clear, credible, and compelling dossier for investors, banks, or partners 🚀.

Strategy – Clarify and structure your vision 🧠

Accustomed to mid-cap operations, I have learned to build a coherent equity story, analyze a market, and highlight the real growth drivers. I help you clarify your positioning and create a compelling narrative for your pitch deck.

Finance – Model and secure your figures 📈

I design reliable financial models: 3-5 year forecasts, sensitivity analyses, P&L/cash flow/balance sheet consistency, as well as multi-method valuations (DCF, comparables, multiples). Objective: provide credible figures ready for investors.

Operational – Drive and structure your business ⚙️

Coming from treasury and financial controlling, I implement KPI dashboards, tracking tools, and simple indicators to help managers understand their operational drivers and make better daily decisions.

👉 My added value
I combine strategy, finance, and operations to create professional deliverables: pitch deck, business plan, financial forecasts, Excel models, valuation, and dashboards 📊.
You will leave with an actionable, investor-ready dossier, adapted to the reality of your business.
  • French

    Native or bilingual

  • German

    Basic

  • Spanish

    Conversational

  • English

    Native or bilingual

Can work on-site
Paris (up to 50km)

Experience

  • Crescendo Finance
    M&A Analyst
    CONSULTING AND AUDITS
    December 2025 - Today (6 months)
    Paris, France
    Participation in small & mid-cap transactions, including the preparation of marketing documents (teasers, IM) and complete financial analysis (EBITDA adjustments, BP, multiples). Contribution to valuations (comps, DCF, LBO) and operational management of processes (Q&A, dataroom). Support to senior teams in structuring pitches and qualifying sectoral opportunities.
    Corporate Finance Treasury Mergers and Acquisitions
  • Acom Corporate Finance
    M&A Analyst
    CONSULTING AND AUDITS
    June 2025 - November 2025 (5 months)
    Bordeaux, France
    • • Participated in drafting pitches, teasers and information memoranda for sell-side mandates across various sectors (Transport, Industry, Education), ranging from MEUR 10 to MEUR 150 EV
    • • Involved on day-to-day project management tasks (Q&A, Dataroom, meeting scheduling)
    • • Contributed to preparing data packs with historical financial analysis (financial statement reconciliation, EBITDA adjustments, net debt) as well as business plan projections
    • • Involved in financial valuation of companies (transaction comps, LBO & DCF)
    Corporate Finance Mergers and Acquisitions Financial Structuring
  • Credit Agricole L&F
    Treasury and Controlling - intern
    CONSULTING AND AUDITS
    July 2023 - January 2024 (6 months)
    Munich, Germany
    • • Involved in the management of a portfolio of intra-group loans (MEUR 200), ensuring efficient treasury operations
    • • Supported short-term debt issuance and refinancing processes (MEUR 50), ensuring accurate execution of contracts and alignment with corporate financial objectives

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Education

  • MSC double degree
    Skema Business School
    2025
    MSC double degree
  • M&A and Private Equity Training Program
    2024
    M&A and Private Equity Training Program

Skill set

Categories