About CapBridge
CapBridge, a member of FOMO Group, is a leading digital investment platform headquartered in Singapore. As a Capital Markets Services licensee, CapBridge is regulated by the Monetary Authority of Singapore (MAS) to deal in capital markets products, including securities and collective investment schemes, and to provide custodial services. It is also an exempt financial adviser licensed to issue or promulgate analyses and reports on investment products.
CapBridge enables HNWIs and institutional clients to invest in traditional and digital assets via its one-stop digital investment platform, providing highly curated, top-quality, and institutional-grade opportunities to meet clients\' diverse asset allocation needs. Through CapBridge\'s associated company, FOMO Pay Pte Ltd, a regulated MAS Payment Services Act (PSA) Digital Payment Token (DPT) entity, qualified clients can also invest into CapBridge curated products using DPTs, providing a seamless bridge between Traditional Finance (TradFi) and Web3 Finance.
About the Role!
This role is ideal for individuals who are intellectually curious, commercially minded, and motivated by building—not just advising on—the future of financial services.
We are seeking a highly analytical and execution-focused Analyst to support the Investor Relations and Corporate Development function. This role will work closely with the senior Investor Relations lead to support fundraising, investor communications, financial analysis, and strategic initiatives across the group and its operating companies.
The role requires strong financial rigor, including hands-on financial modelling, alongside the ability to develop, structure, and storyboard high-quality investor and executive-level presentations.
Key Responsibilities
- Investor Relations & Fundraising Support
- Support fundraising initiatives by preparing high-quality investor materials, including pitch decks, financial models, and investor updates.
- Assist with investor outreach tracking, follow-ups, and pipeline management.
- Coordinate and manage data rooms and due diligence materials for fundraising processes.
- Conduct market, investor, and peer benchmarking research to support capital-raising efforts.
- Presentation Development & Storyboarding
- Own the development, structuring, and storyboarding of investor presentations in collaboration with senior leadership.
- Translate complex financial and strategic information into clear, compelling, and investor-ready narratives.
- Create executive-level PowerPoint presentations for investors, board meetings, and internal stakeholders.
- Ensure consistency of messaging, visuals, and data across all investor-facing materials.
- Financial Analysis & Modeling
- Build and maintain detailed financial models, including forecasts, scenario analyses, and valuation models.
- Analyse group and operating company performance to support investor reporting and strategic decisions.
- Prepare sensitivity analyses and commercial assessments to support fundraising and strategic initiatives.
- Corporate Development & M&A Support
- Support the evaluation of acquisition opportunities through financial analysis, market mapping, and benchmarking.
- Assist in preparing investment memoranda and internal decision-making materials.
- Support transaction execution processes in coordination with internal teams and external advisors.
- Reporting & Stakeholder Support
- Support quarterly and ad hoc investor reporting, including performance summaries and KPI dashboards.
- Coordinate inputs across finance, legal, and operating teams to ensure accuracy and alignment of investor materials.
- Maintain a high standard of quality, accuracy, and professionalism across all communications.
Qualifications & Experience
- Bachelor’s degree in Finance, Accounting, Business, Economics, or a related discipline.
- Minimum of 3 years’ experience in investment banking or a Big Four audit firm, with exposure to M&A advisory, transaction services, or corporate finance.
- Proven ability to develop investor-ready presentations, including structuring and storyboarding complex financial and strategic narratives.
- Strong financial modeling, valuation, and analytical capabilities.
- Advanced proficiency in Excel and PowerPoint (or equivalent tools).
- Excellent written and verbal communication skills, with strong attention to detail and visual clarity.
- Ability to perform effectively under tight deadlines and manage multiple workstreams concurrently.
- Comfortable working with senior executives, investors, and external advisors.
- Highly proactive, hands-on, and execution-driven.
- Fluent in both English and mandarin to manage Chinese stakeholders.
Our Perks and Benefits
- Competitive Compensation and Benefit Package
- Group Hospitalisation and Medical Insurance
- Fun and Dynamic Environment with plenty of learning and growth opportunities
- Career Advancement
- Professional Development Training Workshops
- Team Building Sessions