Managing the funds of that business to ensure the business can continue to exist in a healthy way into the future.
Job description
Manages the business's gross debt portfolio through debt issuance and debt redemption, regularly updating the debt issuance.
Involved the fund raising activities for the Group, driving discussions with internal and external stakeholders.
Reviewed and built financial models and prepare presentation materials for mergers and acquisition (M&A) opportunities etc.
Assist on review and liaison on terms with the business's financial service providers such as banks and arranging acquisition financing as necessary.
Assist on defining the appropriate capital structures for business arrangements while keeping in mind the business need, risk management taxation, accounting, and legal/policy requirements.
Takes parts in the documentation and preparation of information memoranda, business plans, pitches and the so forth.
Assist and works closely with corporate finance management and key stakeholders in long-term strategy formation, revenue budget setting processes, and the identification of new opportunities for the business.
Assist and work with senior corporate finance management in developing financial modeling and analyses.
Develops and maintains consumer relationships to gain valuable insights on financial matters that affect the business's performance.
Works closely with accounting teams in closing financial end-of-period matters.
Assist on identifies revenue generation opportunities for the business by identifying potential clients and investors.
Job requirements
Bachelor’s degree inbusiness, finance, and/or ACCA (or, related field).
7+ years’ experiencein corporate finance, investment banking or similar role.
Proven track recordof successful financial management and analysis.
Preferably multilingual andfluent in Chinese candidates are welcomed to apply this position.
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