Job Title: Senior Manager, Corporate Finance & Treasury
Location: Malaysia (Selangor / Klang Valley)
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Reporting To: Chief Financial Officer (CFO)
Role Overview
We are seeking a dynamic and commercially driven Senior Manager, Corporate Finance & Treasury to lead funding, capital management, and corporate finance initiatives for a leading property conglomerate. This role is critical in ensuring optimal capital structure, strong liquidity management, and execution of strategic transactions to support the Group’s growth.
The successful candidate will play a key role in financing large-scale property developments, managing banking relationships, and supporting mergers & acquisitions, joint ventures, and capital market activities.
Key Responsibilities
Corporate Finance & Strategic Transactions
- Lead and execute corporate finance initiatives including debt raising, refinancing, M&A, joint ventures, and strategic investments
- Evaluate and structure funding solutions for property development projects and long-term investments
- Develop and maintain financial models for feasibility studies, project evaluation, and investment decisions
- Support capital market transactions, including sukuk/bond issuances and equity fundraising where applicable
- Drive due diligence, valuation, and negotiation processes with external advisors and stakeholders
Treasury & Funding Management
- Oversee Group treasury operations, including cash flow management, liquidity planning, and funding optimization
- Manage relationships with financial institutions and lenders to secure competitive financing terms
- Monitor and manage debt portfolio, including covenant compliance and repayment schedules
- Optimize capital structure and cost of funds across the Group
- Implement effective treasury policies, controls, and governance frameworks
Banking & Capital Markets
- Lead engagements with banks, financial institutions, and rating agencies
- Support credit rating exercises and investor relations from a financing perspective
- Ensure compliance with financing agreements and regulatory requirements, including those under Bursa Malaysia (if applicable)
Risk Management
- Identify and manage financial risks, including interest rate, liquidity, and foreign exchange exposures
- Develop hedging strategies and recommend appropriate financial instruments
- Ensure treasury risk management practices are aligned with Group policies
Stakeholder Management
- Partner closely with senior management, project teams, and external stakeholders (banks, advisors, legal counsel)
- Present funding strategies, financial analyses, and recommendations to the CFO and senior leadership
- Collaborate with finance, legal, and tax teams on structuring transactions
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or related field; professional qualifications (e.g., CFA, ACCA, CPA) are an advantage
- Minimum 8–12 years of relevant experience in corporate finance, treasury, or investment banking
- Strong experience in:
- Debt financing and capital raising
- Treasury and cash management
- Financial modelling and valuation
- Prior exposure to property development / real estate sector is highly preferred
- Experience with capital markets (sukuk, bonds, or equity transactions) is an advantage
- Strong understanding of financial markets, banking practices, and regulatory environment in Malaysia
Key Competencies
- Strong financial modelling and analytical skills
- Commercial acumen with strategic thinking capability
- Excellent negotiation and stakeholder management skills
- Strong communication and presentation abilities
- Ability to manage multiple complex projects in a fast-paced environment
Why Join Us
- Opportunity to lead high-impact financing and investment initiatives
- Exposure to large-scale property developments and strategic deals
- Work closely with senior leadership in a leading and established conglomerate
If you are keen on this role, do apply via this link or reach out to bryant at 0164140218