Posted By
Posted in
Banking & Finance
Job Code
1414378
Purpose:
The role steers the financial direction of the business, and undertakes all strategic financial planning, reporting to stakeholders and all aspects of large transactions for the organization's business, including due diligence.
Financial Modelling
- Preparation of financial models, including valuations, scenarios and sensitivity analysis etc
- End to end involvement in corporate finance transactions
- Work with the corporate finance team in structuring, financing and refinancing transactions
- Preparation of materials used in the transaction, including offering memorandums, management presentations and teasers
- Collation of information from various streams within the business
- Manage Q&A with potential investors including preparing various model scenarios and outputs
- Collation of information from various streams within the business for populating online data room
- Review and evaluation of various financing proposals
- Coordination with other teams within the business for documentation purposes
- Pre and post disbursement compliances
- Oversee and validate execution and documentation of transaction collaterals, viz. financial analysis, modeling, presentation, valuation, agreements, etc.
Investment management:
- Advise on and deliver full 'deal' transactions (e.g. acquisitions, joint ventures, partnerships) to drive growth. From inception through due diligence, valuation, negotiation, closing, integration, post integration.
- Provide key insights on meeting investment targets and create investment capital.
- Advisory role in providing investment advice, tactics, and recommendations.
- Financial model building, pitch deck story-boarding, curation to potential investors / strategic acquirers.
- Drafting documentation with a compelling rationale to generate interest in funding proposals, companies for sale, project finance opportunities.
Treasury management:
- Ensure the Group's cash requirements are managed and optimized to enable the business to meet its day-to- day financial obligations and commitments.
- Ensure robust treasury processes, reporting, controls and communication are in place throughout this business to enable effective and efficient business operations.
Policy development and Implementation:
- Develop strategies and policies for the treasury department to support the commercial objectives of the business across the Group and contribute to the development of the overall Group finance strategies and policies.
Mergers & Acquisitions:
- Conduct and present research on new growth opportunities, external M&A activity and risks to company and prepare detailed reports and presentations describing the key attributes of growth opportunities and target acquisitions.
Stakeholder management :
- Develop and maintain effective and valuable relationships with key banks, lenders, rating agencies, regulators and relevant industry working groups to enable the delivery of corporate objectives, commercial operations and maintain credit ratings.
- Deepen the relationships with International Banks to access larger pools of capital and with the banks who have participated in primary transactions with the Group companies
Key Dimensions:
- Focus on transaction execution in efficiently & timely manner
- Active team participation to achieve fund raising plan
- Closety monitor new acquisition with due diligence
- Actively contribute to the team through market updates & developments
- Engage with all stakeholders and build a sound understanding of key businesses, processes & compliances
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1414378