About the Role
We are seeking a highly analytical and strategic finance professional to lead our treasury functions, drive M&A initiatives, and ensure corporate governance compliance. The ideal candidate will possess a deep understanding of the Real Estate sector, expert-level knowledge of corporate and asset valuation, and extensive experience navigating the SGX Rulebook and the Singapore Code on Take-overs and Mergers to support our capital markets activities.
Key Responsibilities:
1) Treasury, Risk Management & Forecasting
- Liquidity & Cash Management: Oversee group-level cash flow, liquidity planning, and working capital optimization across diverse real estate portfolios.
- FX & Interest Rate Hedging: Develop and execute comprehensive hedging strategies to mitigate currency and interest rate risks. Utilize financial instruments (e.g., Interest Rate Swaps, Cross-Currency Swaps, Forwards) to stabilize borrowing costs.
- Forecasting: Lead rolling cash flow and treasury forecasting, including proactive sensitivity analysis on interest rate environments and FX volatility.
- Funding Strategy: Manage debt financing, negotiate with financial institutions, and optimize capital structure to minimize the Weighted Average Cost of Capital (WACC).
2) M&A, Company Valuation & Financial Analysis
- Company & Asset Valuation: Lead complex valuation exercises, including DCF, public comparable analysis, and precedent transaction analysis for both standalone real estate assets and corporate entities.
- Deal Execution: Direct the end-to-end M&A process, from pipeline development and due diligence to complex deal structuring and negotiation.
- Investment Analysis: Build and maintain robust financial models (IRR, NPV, Yield on Cost) to evaluate acquisition targets and divestment opportunities.
3) Taxation, Takeovers & Corporate Compliance
- Takeover Code Compliance: Act as the lead advisor on transactions subject to the Singapore Code on Take-overs and Mergers. Ensure all deal structures, offer documents, and communications adhere to the General Principles and Rules of the Code.
- SGX Regulatory Advisory: Serve as the internal subject matter expert on the SGX Rulebook. Ensure full compliance with listing obligations, including major transaction disclosures and Interested Person Transactions (IPT).
- Tax Strategy: Optimize the group's tax position by managing direct taxes (corporate income tax) and indirect taxes (GST/VAT, withholding tax, property tax and property stamp duties).
Requirements:
- Education: Bachelor's Degree in Finance, Accounting, Economics, or Real Estate. CFA/CA/ACCA or equivalent professional certification is highly preferred.
- Experience: 7–10+ years in corporate finance, investment banking, or treasury, with a specific focus on the Real Estate industry.
Core Competencies:
- Regulatory Expertise: Demonstrable experience with the SGX Listing Manual and the Singapore Code on Take-overs and Mergers.
- Valuation Expertise: Deep experience in corporate valuation methodologies (enterprise value, equity value, multiples) and real estate asset-level modeling.
- Financial Risk: Proven expertise in interest rate and FX hedging strategies.
- Tax Proficiency: Strong working knowledge of direct and indirect tax regimes relevant to real estate holdings.