This role offers direct exposure to real corporate finance transactions—including Sukuk refinancing, capital market exercises, and strategic corporate initiatives. You will work closely with senior management and external advisors, gaining hands‑on experience that builds a strong foundation for long‑term career growth in corporate finance.
Key Responsibilities
- Assist in the refinancing of existing Sukuk facilities by preparing financial schedules, analyses, and supporting documentation.
- Support the structuring and execution of new Sukuk issuance, coordinating with bankers, legal advisors, trustees, and internal stakeholders.
- Prepare financial data and presentation materials for discussions with rating agencies and financial institutions.
- Provide analytical and coordination support for corporate exercises such as Reverse Takeovers (RTO), Initial Public Offerings (IPO), and other strategic initiatives.
- Assist in due diligence processes, valuation analysis, and preparation of regulatory submissions.
- Coordinate documentation and respond to information requests for submissions to Bursa Malaysia, Securities Commission (SC), and other relevant authorities.
- Develop and maintain financial models, projections, and cash flow analysis to support funding, investment, and project feasibility evaluations.
- Perform scenario and sensitivity analysis to support management decision‑making.
- Prepare financial summaries, dashboards, and internal reports for management review.
- Support communication with banks, advisors, auditors, and consultants by preparing financial data packs and responding to information requests.
- Assist in the preparation of management presentations, board papers, and pitch decks.
- Maintain proper documentation, version control, and record‑keeping for corporate finance materials.
- Assist in monitoring compliance with regulatory and reporting requirements (SC, BNM, Bursa Malaysia, etc.).
- Track financial covenants, reporting deadlines, and post‑issuance obligations for Sukuk and other capital market instruments.
- Ensure proper filing and documentation in accordance with internal policies and regulatory standards.
Job Requirements
- Bachelor’s Degree in Finance, Accounting, Economics, Business Administration, or related field.
- Minimum 4 years of relevant experience in corporate finance, investment banking, financial advisory, audit, or related roles.
- Professional qualifications such as ACCA, CFA (Level I), CPA, or equivalent are an added advantage.
- Strong proficiency in Microsoft Excel (financial modelling) and PowerPoint.
- Good analytical, numerical, and problem‑solving skills.
- Strong written and verbal communication skills.
- High attention to detail with good documentation and coordination abilities.
- Able to work independently and manage multiple tasks within tight timelines.
- Comfortable liaising with external stakeholders (bankers, advisors, auditors, regulators).
- High level of professionalism and confidentiality when handling sensitive financial information.
- Possess a valid Class D driving licence.
What We Offer
- Exposure to real capital market transactions (Sukuk, RTO, IPO).
- Close mentorship from senior finance leadership.
- Structured learning and career development in corporate finance.
- Opportunity to work with top‑tier advisors and financial institutions.