Fund Finance Associate – Singapore (APAC Focus)

MUFG Bank, Ltd

Singapore

On-site

SGD 120,000 - 180,000

Full time

14 days+
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Job summary

MUFG in Singapore is seeking an Associate in Fund Finance to support origination and execution of fund finance facilities for clients, ensuring efficient processing.

You will help with credit papers, financial modelling, terms negotiation, due diligence, and documentation, while maintaining compliance and timely reporting.

The role requires collaboration with internal teams and clients to deliver high-quality fund finance products and maintain data integrity in portfolios.

Qualifications

  • Three years’ experience in corporate or structured lending within banking or finance.
  • Experience in fund finance is preferred but not required.
  • Strong understanding of core lending principles.

Responsibilities

  • Assist origination and execution of fund finance facilities for clients.
  • Construct credit papers, perform financial modelling, and negotiate terms.
  • Complete due diligence, documentation, and conditions precedent.
  • Ensure compliance and timely regulatory submissions for portfolios.
  • Build effective relationships with internal teams and external clients.
  • Handle administration for fund finance and securitisation portfolios with data integrity.
  • Pursue ongoing development to deepen fund finance skills.

Skills

Financial acumen
Interpersonal skills
Compliance mindset
Commercial awareness
Stakeholder management

Education

Bachelor’s degree in Business, Finance or related field

Tools

Microsoft Office

Job description

MUFG in Singapore is seeking an Associate in Fund Finance to support origination and execution of fund finance facilities for clients, ensuring efficient processing.

You will help with credit papers, financial modelling, terms negotiation, due diligence, and documentation, while maintaining compliance and timely reporting.

The role requires collaboration with internal teams and clients to deliver high-quality fund finance products and maintain data integrity in portfolios.

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