Job Summary: Assist the CorpFin and Treasury Head by gathering, interpreting, and analyzing data to come up with relevant business decision
Responsibilities:
Corporate Finance
- Lead and support fund-raising and financing activities end-to-end
- Serve as alternate relationship contact for banks and financial institutions
- Coordinate project finance requirements across business units
- Assist in negotiating and closing financing documents with the legal team
- Review quarterly certifications and unaudited/audited financial statements for lender submission
- Monitor and flag potential loan covenant non-compliance across subsidiaries
- Prepare ExCom and Board reports on proposed financing options
- Review loan agreements and assist in drawdown documentation
- Respond to lender and auditor queries related to company performance
Financial Planning & Analysis
- Consolidate and review business unit budgets for annual and 5-year group forecasts
- Lead discussions with business units to validate budget assumptions and drivers
- Analyze and explain key budget-vs-actual variances at the consolidated level
- Prepare regular MPIC deliverables (Latest Estimate Report, Elephant Schedule)
- Prepare monthly cash flow forecasts for MPTC and head office-managed entities
- Develop financial analysis for business expansion, valuation, and IPO activities
- Drive implementation of new budget planning systems (SAP / Anaplan)
What We're Looking For
Degree in Finance, Accounting, Economics, or a related field; CPA or MBA is a plus
5+ years in corporate finance, investment banking, or FP&A — preferably in a conglomerate or infrastructure company or in Auditing Firms
Strong financial modeling, loan covenant monitoring, stakeholder management, and comfort with large data sets and planning tools