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Marie MacriMM

Marie Macri

Financial Modeler

€1,200/day
Paris, FR
15+ years

Average response time: 1 hour

About Marie

I specialise in fund and portfolio-level financial models, asset-level cash flow models, acquisition and disposal analysis, exit waterfalls, debt and financing structures, and detailed scenario and sensitivity analysis. My work is typically relied upon for investment committee, lender, and external review processes.

I am often engaged to review, stabilise, or repair existing models that have become complex, fragile, or difficult to trust. I step into live files, identify structural and logical issues, and focus on producing models that tie, make economic sense, and can be confidently used in professional environments. I regularly design bespoke financial models tailored to specific situations where off-the-shelf approaches are not appropriate.

I work fluently in English and French and regularly support UK-based and international teams remotely, with a pragmatic, detail-driven approach focused on clarity, robustness, and decision-readiness.
  • English

    Native or bilingual

  • French

    Native or bilingual

Remote only
Primarily works remotely

Experience

  • Montrol Cubic
    Founder and CEO
    January 2019 - Today (7 years and 5 months)
    Founder & CEO of a financial modeling and analytics consultancy, I work with UK and European institutional clients on complex Excel-based financial models used for investment, financing, and decision-making.

    I specialise in:
    • fund and portfolio-level financial models
    • asset-level and project-level cash flow models
    • acquisition, disposal, and exit waterfalls
    • debt and financing structures
    • model review, stress-testing, and error diagnosis

    I am often brought in when:

    • an existing model has become overly complex or unstable
    • numbers no longer tie and confidence in the file has been lost
    • a model needs to be cleaned, clarified, or validated before IC, lender, or external review
    • a senior, independent perspective is needed quickly
    I regularly step into ongoing work, work with existing files, and focus on making models robust, transparent, and usable — not just theoretically correct.

    My approach is pragmatic and detail-driven. The objective is always a model that makes economic sense, ties properly, and can be relied on for real decisions.

    I work fluently in English and French and regularly support international UK and Europe-based teams remotely.

    https://www.montrolcubic.com/
    Microsoft Excel Financial Modeling Data Modeling Microsoft Power BI Fund Modeling
  • EY
    Senior Manager - Financial Modeling
    January 2018 - December 2018 (11 months)
    Paris, France
    • Built, reviewed, and stress-tested complex Excel financial models used for transactions, financing, and valuation, including fully integrated cash flow and balance-driven structures
    • • Modeled acquisition, disposal, and exit waterfalls, debt and financing structures (senior debt, mezzanine, covenants, cash sweeps), and downside scenarios relied upon for IC and lender decisions
    • • Performed independent model review and validation on live transactions, identifying structural, logical, and assumption-level weaknesses in client and third-party models
    • • Delivered time-critical modeling and review work in high-stakes environments, ensuring models tied, behaved correctly under stress, and were robust enough for external scrutiny
    Microsoft Excel Data Modeling Financial Modeling Business plan Quantitative Finance
  • LaSalle Investment Management
    Financial Modeling Manager
    May 2014 - December 2017 (3 years and 7 months)
    • Designed and built LaSalle Investment Management’s core European fund-level financial modeling platform, used across multiple jurisdictions to support portfolio management, forecasting, and reporting
    • • Developed a scalable, standardized modeling architecture linking asset-level cash flows, fund structures, and investor reporting, ensuring consistency across countries, strategies, and investment teams
    • • Integrated the fund modeling platform with accounting outputs and investment team inputs, aligning modeled cash flows with actuals and enabling reconciliation, variance analysis, and forward-looking projections
    • • Worked closely with fund managers, asset managers, and finance teams to translate investment strategy, capital structures, and operational realities into a robust, decision-grade modeling tool used for internal governance and senior management oversight


    Fund Modeling Financial Modeling Corporate Finance Financial Analysis Reporting

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Education

  • Master
    CY Tech
    2014
    Master in Quantitative Finance and Risk Management

Skill set

Categories

  • Other