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Manager - Corporate Finance (Corporate Structuring & Funding Strategies)

Malaysia Airports Berhad

Sepang

On-site

MYR 120,000 - 180,000

Full time

Today
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Job summary

A leading airport management organization in Malaysia is seeking a Manager - Corporate Finance to drive financial advisory and strategic planning. This role involves preparing financial models, managing corporate finance exercises, and liaising with external parties. Candidates should have a degree in Finance, and a CFA qualification is preferred. Strong financial analysis skills and a background in corporate finance or treasury are essential for success in this role.

Qualifications

  • Strong financial modelling, analysis, and report writing skills.
  • Sound business acumen with effective stakeholder communication skills.
  • Proven treasury and capital markets knowledge.
  • Ability to perform under pressure.
  • Excellent oral and written English skills.

Responsibilities

  • Prepare integrated financial models for investment decisions.
  • Coordinate cash flow projections with project teams.
  • Perform complex business analysis and strategic planning.
  • Manage and execute corporate finance and investment exercises.
  • Liaise with external parties for transaction structures and recommendations.

Skills

Financial modelling
Analysis
Report writing
Stakeholder communication
Treasury knowledge
Capital markets knowledge
Resilience under pressure
Attention to detail

Education

Degree in Accounting, Finance, or Banking
Master’s degree
Chartered Financial Analyst (CFA)
Job description

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Manager - Corporate Finance (Corporate Structuring & Funding Strategies)
Job Description

POSITION GENERAL SUMMARY

Provide financial advisory on strategic and financial services through every phase of the economic cycle for all critical areas, with a focus on increasing company value.

ESSENTIAL POSITION FUNCTIONS

  • Prepare and develop integrated financial models (including cash flow, funding, valuation, and scenario analysis) to support investment decisions, funding strategies, and corporate finance transactions.
  • Coordinate cash flow projections and analysis with project teams to evaluate funding proposals and liquidity requirements.
  • Perform complex business analysis, evaluation and strategic planning in line with MAHB’s objectives.
  • Manage, structure, and execute corporate finance and investment exercises for MAHB Group, including capital structure optimisation, acquisitions, divestments, and debt and equity capital market transactions.
  • Structure and execute corporate loans and banking facilities and ensure on‑going compliance with the terms and conditions
  • Manage and liaise with external parties including lawyers, tax agents, investment banks, and regulators in analysing proposals and preparing transaction structures and recommendations for Management and the Board.
  • Work closely with Group Finance divisions (Group Accounts, Tax, Regulatory Economics, Investor Relations) and finance teams across MAHB business units.
  • Assist in overseeing and strategising treasury operations, including daily cash management and settlement processes.
  • Manage hedging and financial risk exposures such as foreign exchange, cross‑currency swaps, and interest rate swaps.
  • Perform financial planning, liquidity forecasting, procurement of funds, and enhancement of investment returns.
  • Managing MAHB Group financial and liquidity risk.
  • Ensuring timely availability of funds in line with business plans and ad hoc requirements.
  • Maintaining investment returns above benchmark rates.
Skills
  • Strong financial modelling, analysis, and report writing skills.
  • Sound business acumen with effective stakeholder communication skills.
  • Strong treasury and capital markets knowledge supported by relevant experience.
  • Self‑driven, resilient, and able to perform under pressure.
  • Excellent oral and written English skills with good attention to detail.
Education

External

  • Degree in Accounting, Finance, or Banking. A Master’s degree is an added advantage.
  • Chartered Financial Analyst (CFA) qualification is an added advantage.
Relevant Industries

External

  • Degree with minimum 5 years relevant experience,preferably with at least four years in audit or strategy and transactions/deals in a Big 4 firm, or direct and relevant Corporate Finance and Treasury experience in a large, reputable organisation of similar scale and complexity.
Additional Information

Open for Malaysian citizens only.

Please be reminded that only online applications will be entertained.

Applications should reach us by 22 January 2026.

Only the shortlisted candidate will be notified.

Job Segment: CFA, Corporate Finance, Compliance, Financial Analyst, Strategic Planning, Finance, Strategy, Legal

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