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about the company
Our client, a well-established and rapidly evolving listed group, headquartered in Singapore and specialize in delivering energy-efficient and sustainable products across the Asia-Pacific region. As they gear up for an exciting period of scaling and strategic investments, they are searching for ambitious professionals to help steer their financial trajectory, looking for a Corporate Finance & Strategy manager to join their organisation.
about the job
Reporting to the CFO, you will act as the driving force behind the Group's capital strategy and corporate development plans, encompassing end-to-end management of our fundraising efforts across debt and equity markets. You will be instrumental in identifying and executing growth opportunities, such as mergers, acquisitions, and joint ventures, while overseeing cash flow optimization and liquidity management. Additionally, you will serve as a key advisor to the executive team, leveraging your financial modeling expertise and market insights to guide high-level investment, capital allocation decisions, and relationships with key external financial institutions.
Skills and experience required
To apply online please use the apply function, alternatively you may contact Dylan directly at 98227811.
(EA: 94C3609/R1768186)
Applicants must be fully vaccinated or have a valid exemption in accordance with MOM's regulations to allow them to enter the workplace. Applicants may be required to share verifiable COVID-19 vaccination documents or proof of a valid exemption at the point of offer. Randstad Pte. Limited and/or the Client reserves the right to withdraw an offer if the applicant fails to provide verifiable COVID-19 vaccination and/or proof of exemption documents.
Job ID: 151068171
Skills:
Liquidity optimization, Financial Modeling, Financing proposals, Equity fundraising, Cash Flow Forecasting, Investment appraisals, Negotiation Skills, Valuations
Skills:
Data Visualization, Excel, financial software tools, Business Analysis, Forecasting, Financial Planning, Financial Modeling, budgeting, Reporting
Skills:
Microsoft Office, Analytical Skills, CRM Tools, Sales Experience, Market research, Negotiation Skills
Skills:
Closing processes, bank relationship management, Liquidity control, treasury functions, Funds allocation, Cash Flow Forecasting, Financial reporting, IFRS or international accounting practices
Skills:
contractual accounts, claims valuations, PSSCOC, company SOPs, Variation Orders