About this role
JOB DESCRIPTION
This is a key role to support the on-going Corporate Finance and Treasury activities including debt sourcing, financial and tax structuring for investments in the infrastructure space. The key responsibilities will include:
• Lead financial and tax structuring for investments • Scope and review financial and tax due diligence for each investment (when required) • Responsible for debt sourcing for new investments or refinancing • Review various financing solutions, analyse and recommend the appropriate strategy to raise new debt/refinance • Maintain relationships with banks and other relevant financial institutions • Negotiate, review and complete financing documentation (including negotiating financing terms and loan documents) • Work with internal stakeholders to address cash flow requirements • Track and monitor loan portfolio, including interest costs, loan covenants and reviewing refinancing needs • Prepare or review quarterly investor reports, periodic group treasury reporting, recommendation/board papers on financing • Lead/support treasury operations including bank account management, KYC requirements, loan rollovers, drawdowns, interest period selection and hedging requirements
JOB REQUIREMENTS
• Degree in Business Management, Finance or Accountancy with minimum 10 years’ relevant working experience. • Prior working experience in similar work scope is an advantage. • Experience in fund reporting/ financing, tax structuring, treasury and/or financing arrangements in the infrastructure investments space will be an added advantage. • A self-motivated team player who is meticulous, organized and able to learn quickly/ independently with strong analytical skills. • A strong communicator with excellent stakeholder management skills and ability to work well with different functions and levels. • Ability to multi-task and work in a fast-pace dynamic environment. • Some experience in the supervisory role.
BUSINESS SEGMENT
Infrastructure
PLATFORM
Fund Management