Support financial and tax structuring for each investmentincluding scoping and reviewing financial and tax due diligence findings
Support debt sourcing for new investments or refinancing
Work with external advisors on transactions
Review and complete loan documentation for draw down
Work with internal stakeholders to address cash flow requirements
Track and monitor loan portfolio, including interest costs, loan covenants and reviewing refinancing needs. Prepare loan compliance reports for submission if required
Prepare or review quarterly reports required for investor and headquarter reporting
Support treasury operations including bank account management, KYC requirements, loan rollovers, interest period selection and hedging requirements
JOB REQUIREMENTS
Degree in Accountancy, Finance or Business Management with minimum 5 to 7 years of relevant working experience
Experience in corporate treasury and hedging will be an added advantage
A self-motivated team player who is meticulous, organized and able to learn quickly and independently with strong analytical skills
A strong communicator with excellent stakeholder management skill and ability to work well with different functions and levels
Ability to multi-task and work in fast pace dynamic environment