Responsibilities
• Manage Company’s investments include but not limited to portfolio management, asset allocation, and risk management. Works with investment managers to make sure the company's investments are performing well. Monitor the financial markets and makes recommendations about where to invest the company's money.
Plan for capital expenditures for new business development including but not limited to assets purchases or warehouse/property projects.
• Present in-dept analysis, evaluate, and execute investment opportunities (e.g. M&A) due diligence to determine which investments are profitable based on interest rates, market conditions, risk, and other factors.
• Manage relationship with investment banks to underwrite securities and other stakeholders for issuing and managing securities to investors. This includes marketing the securities, negotiating prices, and executing trades.
• Negotiate terms of loans and other financial transactions with lenders and other parties to ensure the best interest for the Company.
• Maintain abreast of the changing business landscape in order to identify opportunities to drive both organic and inorganic growth.
• Control whole process of cash flow within a company for getting an effective and competitive result in financial aspects within an organization.
Requirements
• Minimum 5 - 10 years working experience in experience in corporate finance, accounting, and investment banking.
• Bachelor's degree in business, finance, or accounting. master's degree in business administration (MBA) or a master's degree in finance (MAF) would be an advantage.
• Strong understanding of financial accounting and investment banking
• Knowledge in financial modeling software
• High attention to detail and excellent analytical skills.
• Excellent communication skills and natural leadership.
• Excellent team player and ability to work independently as well.
• Ability to work under pressure with tight deadlines.
• Fluent in English, both written and spoken.