Responsibilities:
- Corporate finance and funding planning activities
- Support analysis of Group capital structure including identifying appropriate target leverage ratios and external and internal funding structures.
- Identify opportunities to reduce funding costs and increase access to funding.
- Provide internal advisory on intrinsic value/WACC to facilitate investment valuation and impairment testing.
- Treasury and loan management - Support local and overseas markets such as China and Southeast Asia (Vietnam, Indonesia, Myanmar, etc.)
- End to end support on financing (including loan negotiation), cash management, bank relationships, FX, etc.
- Research and work with various stakeholders on financing and regulatory requirements for each local and overseas market.
- Investment appraisals and analysis
- Support investment appraisals by providing the cost of funding in various currencies, funding arrangement, FX and interest rate risk management and internal reviews on investments.
- Maintain database for projects.
- Debt capital markets initiatives
- Maintain and update EMTN programme and bond pricing supplement.
- Support Group debt and equity capital markets fundraising including bond issuances and investor roadshows.
- Perform benchmarking analysis and assess impact of potential fundraising actions on Group.
- Green and sustainability financing
- Maintain green financing and sustainability-linked financing frameworks and procedures, including annual assurance by external verifiers and maintaining database to track green projects.
- Ad hoc support for other activities as required and directed
- Support the team in budgeting, treasury reports including providing administrative support such as updating of signatories, coding of department invoices, etc.
- Other relevant treasury and corporate finance activities.
Qualifications:
- Degree in Accounting, Finance or Business Administration preferred but not required.
- At least 3 years of proven relevant treasury experience in project finance, loan documentation review, debt capital market experience and corporate and/or banking experience.
- Enjoys analytical work and into details.
- Strong grasp of accounting and corporate finance concepts.
- Flexible and adaptable personality; enjoys problem solving and willingness to take on new challenges.
- A team player with keenness to learn and work in cross-functional taskforces.
- Strong financial modelling skills.
- Good presentation skills and ability to use Microsoft Excel, Powerpoint and Word.
- Good interpersonal skills and ability to communicate confidently.
- Able to or willing to learn to use software such as Bloomberg, PowerBI, SAP, treasury management system and business process system.