Job Scope:
- Responsible for the preparation of cash flow projection, corporate profile, and a working paper in relation to new business deals, expansion, and corporate matters
- Conduct risk assessment, research analysis, developing solutions, and providing support in the discussion of new business or merger & acquisition opportunities and potential business deals
- Liaison with external advisors, auditors, secretaries, solicitors, investments bank/ commercial banks/ financial institutions, and other related working parties with regard to the implementation and execution of engagements or projects
- Synchronize and cooperate with other departments for gathering financial inputs and assumptions in the preparation of financial models
- Communicate progress and escalate issues/problems to the project lead for resolutions and awareness
- Conducting research on investment portfolios and recommendations
- Deep dive analysis on financial data of overall group and business unit/subsidiaries. Develop incisive analysis and reporting to insight into business financial performance and trends
- Any other assignment was given by management
Requirements:
- Bachelor’s Degree or Professional Degree in Finance/ Accountancy/Banking or equivalent
- Basic knowledge of the Companies Act, guidelines, and regulations administered by the Securities
- Commission and other relevant corporate and securities legislation would be an added advantage
- Proficient in English and Malay, Written and Spoken
- Good working knowledge in Word, Excel, PowerPoint Presentation, and other relevant systems
- Minimum 1-2 years of working experience in a corporate finance-related field
- Independent, self-motivated, resourceful, good communication skills and interpersonal skills