Responsibilities
- Lead the Company's financing activities in alignment with the strategic plan.
- Develop financing plans to ensure adequate financial support.
- Establish and maintain strong relationships with financial institutions.
- Create and enhance the financing management system and workflow.
- Manage and allocate funds centrally for the headquarters and subsidiaries.
- Responsible for the robustness of the Group’s cash management policy and procedures.
- Guide, supervise, and evaluate subsidiaries' cash management.
- Ensure efficient utilisation of cash across the Group.
- Oversight on the Group's assets which include but not limited to real estate, equity, rights, and working capital assets to ensure efficient use of these assets
- Develop a monitoring process to track efficient use of assets across the Group.
- Develop plans for optimization of idle assets and to guide and supervise subsidiaries in the implementation of plans
- Execute asset optimization projects for idle or underperforming assets with the objective of maximize return on those assets while managing the risks
- Guide and supervise subsidiaries in the optimization of idle or underperforming assets.
Requirements
- Bachelor's degree in Finance/Accountancy/Banking or equivalent.
- Minimum 10 years of relevant experience.
- Excellent verbal and written communication skills in English and Mandarin (This role requires to communicate with Chinese counterpart)