Optimize Capital Structure: Collaborate with leadership teams across divisions and countries to ensure the Group's funding requirements are met efficiently, leveraging a variety of financial instruments and structuring deals to achieve an optimal capital structure. Besides, be able to track and construct cash flow analysis.
Strategic Partnerships: Forge and maintain strategic relationships with investors, financial institutions, and professional advisors (e.g., financial advisors, lawyers, and valuers) to secure funding and business strategies that boost organizational performance.
Financial Modeling and Analysis: Utilize advanced financial forecasting, projections, and valuation models to assess the financial and economic implications and commercial viability of proposals.
Communication and Reports: Develop and present reports, proposals, and presentations for internal management and external stakeholders regarding cash flow reports, budgeting forecasts, feasibility reports, or other relevant required reports, etc.
Responsibilities
Corporate Exercise and Investment:
Innovation and Improvement Projects: Lead initiatives to refine the Group's corporate, shareholding, and transaction structures, enhancing overall business operations.
Investment Analysis and Execution: Identify and evaluate potential investment opportunities (e.g., acquisitions, collaborations, joint ventures), conducting thorough due diligence and market research to ensure profitable and strategic decision-making.
Regulatory and Advisory Coordination: Manage relationships with external advisors and regulatory bodies, overseeing the submission and implementation of corporate proposals.
Requirements:
Educational and Professional Credentials: A minimum degree in finance, banking, accountancy, or a related field, with professional qualifications being highly regarded.
Experience: 3-5 years in investment banking or a comparable corporate finance position, with a proven track record of analytical and financial modeling skills.
Skills and Attributes: exceptional analytical abilities, a proactive and positive attitude, resilience under pressure, and outstanding communication skills. A high degree of integrity, self-motivation, and the ability to work autonomously are essential.
Language Proficiency: Fluency in English, with strong written and verbal communication skills.
Skills
Financial Modeling
Analytical Skills
Investment Banking
Finance
Functions
Accounting & Finance
Job Overview
Job Type:
Hybrid
Company
Bitazza
34 active jobs
Industry:
Banking & Finance
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