Investment Manager
Job Description
About the Role
Lead deal identification, financial evaluation, and strategic recommendation on acquisition and investment opportunities for the corporate portfolio.
Own full cycle on <3 deals annually from pipeline screening through investment committee presentation. Report to Head of Corporate Development; liaise directly with regional business units and HQ.
Key Responsibilities
- Identify and screen M&A targets across APAC; build investment theses and preliminary financial cases
- Develop detailed acquisition models: valuation, synergy quantification, integration roadmaps, returns analysis (IRR, MOIC, payback)
- Lead buy-side due diligence across operational, financial, and market dimensions; coordinate with external advisors
- Prepare board/investment committee decks: financial summary, strategic rationale, risk assessment, deal structure recommendations
- Maintain ongoing market intelligence on sector trends, competitor moves, and deal pipeline; brief senior leadership on strategic implications
- Build and present post-close integration plans; track deal outcomes against original thesis
What We're Looking For
- 5-7 years in corporate development, strategy, investment banking, or private equity with demonstrated deal execution
- Advanced financial modeling: LBO, comparable company analysis, DCF, sensitivity tables; can defend assumptions under scrutiny
- Exceptional communication: can distill complex financial and operational data into board-ready narratives; comfortable presenting to C-suite
- Strong analytical rigor with commercial judgment—balances precision with pragmatism on deal timing and structure
- Comfortable in matrix org; manages relationships across business units, finance, and legal
- APAC exposure a plus; cross-border deal experience preferred
Must-Have
- Bachelor's in Finance, Economics, or Engineering
- Mastery of Excel and PowerPoint; Bloomberg/FactSet equivalent preferred
- Fluent English; working proficiency in Mandarin or Japanese valued
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