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AVP - Corporate Finance (Treasury & Equity/Debt Fund Raising)

TRI-CAP CONSULTING PTE. LTD.

Singapore

On-site

SGD 80,000 - 110,000

Full time

Today
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Job summary

A well-established Real Estate and Hospitality company in Singapore is seeking a candidate for corporate strategy and treasury management. The role involves executing M&A transactions, leading capital markets initiatives, and managing financial risks. Candidates should have a degree in Business, Accounting or Finance, with 8 years of relevant experience in Corporate Finance in real estate. Strong analytical skills and excellent communication abilities are essential.

Qualifications

  • 8 years’ experience in Corporate Finance/Treasury in real estate companies.
  • Experience with SGX takeover and listing rules.
  • Involvement in full-cycle transaction experience.

Responsibilities

  • Responsible for corporate strategy and strategic planning.
  • Assist in executing M&A transactions and corporate actions.
  • Coordinate with external advisors for due diligence.
  • Lead bonds and equity offerings.
  • Manage FX and interest rate swap transactions.

Skills

Financial and business analytical skills
M&A processes
Problem-solving attitude
Organizational skills
Excellent communication skills

Education

Degree in Business, Accounting or Finance
Job description

We are recruiting for a well-established Real Estate and Hospitality company who are looking to expand further with various interesting initiatives.

Reporting to the CFO, you will be responsible for corporate strategy and strategic planning. You will be assisting in executing M&A transactions and corporate actions including term sheet drafting and negotiations. You will be coordinating with external advisors to perform due diligence and responsible for financial analysis, financial modelling, deal structuring, documentation and negotiations, funding, settlement and closing.

You will be also involved in Capital Markets and Fund raising by leading bonds and equity offerings, financing/refinancing exercise for new/existing debt facilities. You will establish relationships with new banks to the group and further deepen existing relationships. You will review and monitor group hedging strategy, including managing FX and interest rates swap transactions. You will ensure alignment of hedging activities with financial risk management objectives. You will also be updating investor and AGM presentations and engage the investment community to expand research coverage etc.

Requirements

You possess an educational qualification in Business, Accounting or Finance with about 8 years’ experience in Corporate Finance/ Treasury in real estate companies.

You possess strong financial and business analytical skills (comparable analysis, benchmarking and other analytical tools), M&A processes as well as SGX takeover and listing rules. You will be involved in full-cycle transaction experience and be able to demonstrate involvement in such transactions.

You are resourceful and independent with excellent written and spoken communication skills. You are results-oriented and possess a problem-solving attitude as well as strong organizational skills and hands-on mentality.

All applications will be treated in the strictest confidence. Personal data provided will be used for recruitment purposes only.

Please apply with your CV in word document format. We regret to inform that only shortlisted candidates will be notified. For other positions related to real estate, please go to https://careers.tri-cap.com.sg/.

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