Corporate Finance Manager - Kuala Lumpur, Malaysia - Minconsult Sdn Bhd

Siti Tan

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Siti Tan

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Description

Your Role:
Corporate Finance Manager ( Financial Modelling )


Budgeting and Forecasting:


  • Develop and maintain detailed financial models to forecast revenues, expenses, and cash flows.
  • Collaborate with various departments to gather relevant data and assumptions for budgeting and forecasting purposes.
  • Analyse historical trends and external factors to provide accurate projections for future financial performance.
  • Regularly review and update forecasts to reflect changes in the business environment and operational conditions.

Financial Planning and Analysis (FP&A):


  • Develop and maintain financial models and forecasts to support strategic planning and decisionmaking.
  • Analyse financial data and performance metrics to identify trends, risks, and opportunities for improvement.
  • Prepare budgets, forecasts, and variance analysis reports to monitor and optimize the company's financial performance.

Capital Budgeting and Investment Analysis:


  • Evaluate potential investments and capital projects to determine their financial feasibility and alignment with the company's goals.
  • Assess investment opportunities using techniques such as net present value (NPV), internal rate of return (IRR), and payback period analysis.
  • Prioritize and allocate financial resources effectively to maximize returns and achieve strategic objectives.

Capital Structure Management and Financing:


  • Determine the optimal mix of debt and equity financing to fund the company's operations and growth initiatives.
  • Identify and evaluate financing options, including debt issuance, equity offerings, and bank loans, to raise capital at favourable terms.
  • Manage relationships with lenders, investors, and financial institutions to secure financing and maintain a strong credit profile.

Financial Risk Management:


  • Identify, assess, and mitigate financial risks that may impact the company's profitability, liquidity, and solvency.
  • Develop risk management strategies and hedging techniques to protect against market, credit, currency, and operational risks.
  • Monitor and report on key risk indicators and compliance with regulatory requirements to ensure sound financial governance.

Treasury Management:


  • Manage the company's cash flow, liquidity, and working capital to meet operational needs and financial obligations.
  • Optimize cash management practices, including cash forecasting, investment decisions, and bank relationship management.
  • Implement policies and procedures to safeguard assets, prevent fraud, and maintain financial stability.

Financial Reporting and Compliance:


  • Prepare and analyse financial statements, including income statements, balance sheets, and cash flow statements, in accordance with accounting standards and regulatory requirements.
  • Ensure timely and accurate reporting of financial results to internal and external stakeholders, including management, investors, and regulatory authorities.
  • Maintain compliance with applicable laws, regulations, and accounting principles.

Qualifications that Make You Stand Out:


  • A Bachelor's degree in Finance, Business / Professional Qualification (ACCA/ MICPA/ CIMA).
  • 5 7 years of handson experience in Corporate Finance.
  • Mastery of NPV, IRR, Payment Cash Flow, and ROI.
  • Proven track record in
    feasibility studies, financial modelling, and project finance advisory
:


  • Leadership prowess to motivate your team to reach highperformance standards.
  • Indepth knowledge of industry trends, financial markets, and regulatory frameworks.

Job Types:

Full-time, Permanent


Pay:
RM7, RM10,000.00 per month


Schedule:

  • Monday to Friday

Application Question(s):

  • How many years' experience do you have as a Corporate Finance Manager?
  • Have you worked in a role which requires experience with financial analysis and modelling?

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