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Princeton Digital Group

Senior Manager, Financial Risk and Credit Management

10-12 Years
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Job Description

Who We Are

Princeton Digital Group (PDG) is a leading developer and operator of AI and cloud hyperscale data centers in Asia. Headquartered in Singapore, PDG has a presence across high-growth markets in the region including Singapore, Japan, India, Indonesia, China, Korea and Malaysia.

PDG is backed by some of the world's most reputed blue-chip investors - Warburg Pincus, a leading global private equity firm with a successful history of creating world-class technology, media, and telecommunications (TMT) and real estate platforms; Ontario Teachers Pension Plan (OTPP), Canada's largest single profession pension plan; Mubadala Investment Company, a sovereign investor that manages a diverse global portfolio for the Government of Abu Dhabi and Stonepeak, a leading alternative investment firm specializing in infrastructure and real assets globally.

Why Join PDG

  • Impact at Scale: Be part of a company that's enabling digital transformation of economies.
  • Career Growth Without Borders: With operations across Asia Pacific and a fast-growing footprint, your next opportunity could be anywhere.
  • Culture That Empowers: We foster a collaborative, inclusive environment where every voice is heard and every contribution matters.
  • Commitment to Excellence: From governance to workplace safety, we hold ourselves to the highest standards because our people deserve nothing less.

PDG empowers individuals in every role to grow, lead, and leave a lasting impact.

Join us to build the digital future of Asia.

For more information, visit our website www.princetondg.com or follow us on LinkedIn.

We Are Looking For:

A Senior Manager in Financial Risk and Credit Management with strong expertise in FX and interest rate risk within project finance or leveraged structures. The ideal candidate will drive hedging strategies, credit analysis, and risk frameworks while supporting financing decisions and board-level reporting.

Your Job Responsibilities:

  • Support FX, interest rate, and any other market related risk analysis across projects and the portfolio.
  • Model and stress scenarios on FX and interest rate impacts
  • Advise Group Treasury on optimal risk mitigation measures aligned with financing structures and lender requirements.
  • Work with leadership develop and implement a company wide Treasury Risk Management Strategy consistent with Treasury policies and Board‑approved risk appetite.
  • Develop, maintain and apply hedging and risk management frameworks for project financings and business activities across jurisdictions.
  • Support internal credit analysis at project and group level, including downside, stress and sensitivity assessments aligned with lender and rating‑agency perspectives.
  • Assess the impact of FX, interest‑rate and liquidity risks on cash flow resilience, covenant headroom and overall credit quality.
  • Manage competitive bank pricing processes for FX and interest‑rate derivatives to ensure best execution and cost efficiency.
  • Oversee execution of FX and IR derivative transactions linked to project financings, ensuring robust controls and auditability.
  • Manage counterparty exposure, liquidity access and operational readiness across banking relationships
  • Work closely with Group Treasury leadership, development, construction, finance, tax and legal teams.
  • Prepare management‑ and board‑ready materials covering project funding risks, hedging strategy, credit considerations and execution status.

Qualities You Should Have:

  • 10 years of experience in treasury risk management roles.
  • Strong exposure to FX and interest‑rate risk management in the context of leveraged or project‑financed structures.
  • Experience working with global banks on hedging, pricing and financing documentation.
  • Deep understanding of FX and interest‑rate derivatives, market dynamics and execution risk.
  • Strong analytical capability linking financial risk to financing structures, covenants and cash‑flow resilience.
  • Financial modelling
  • Ability to produce lender‑, rating‑ and board‑ready analysis with high attention to detail.

By submitting this application for employment to PDG, you hereby acknowledge that you consent to the collection, use and/or disclosure (to relevant third parties) of your personal data by us for the purposes of evaluating this application [and for other potential vacancies in the future]. You may inform us of any decision to withdraw such consent in the future by contacting [Confidential Information]. Please do not send your application to this email address

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Job ID: 147615229

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