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We are seeking a seasoned Senior Manager – Corporate Finance to lead and execute strategic financial initiatives for the Group. This role will be instrumental in shaping our capital structure, coordinating major corporate exercises (such as M&A, divestments, fundraising) and strengthening our treasury, risk and governance frameworks.
Job Responsibility:
Lead the development of the Group’s annual budget and long-term forecast models, in collaboration with business unit heads
Conduct feasibility and scenario analyses for new business initiatives, acquisitions, joint ventures and divestments
Build and maintain sophisticated financial models and valuations to support strategic transactions and corporate financing activities
Drive treasury management functions including liquidity planning, debt facility structuring, negotiations with banks/investors, and placement of funds
Establish and enforce financial policy, SOPs and internal controls in line with regulatory and corporate governance standards
Manage and coordinate major corporate exercises (M&A, IPOs, rights issues, fundraising) from conceptualisation through to completion, including due diligence, structuring, documentation and board/EXCO presentations
Monitor regulatory developments (e.g., by Securities Commission Malaysia, Bursa Malaysia), assess their impact on Group activities, and ensure timely compliance
Prepare clear, board-level reports, presentations and recommendation papers for senior leadership and stakeholders
Mentor and lead a small team of finance professionals
foster a high-performance culture and continuous improvement mindset
Requirements:
Minimum Bachelor’s degree in Finance, Accounting, Business or equivalent
professional qualification (ACCA, CPA, CA, CFA) is preferred
8-10+ years of progressive experience in corporate finance (ideal if experience includes a public listed company or large conglomerate)
Proven track record in valuations, financial modelling, M&A execution, fundraising and treasury management
Strong technical accounting knowledge, with ability to understand consolidation, corporate structures, debt/equity instruments
Excellent analytical, numerical and presentation skills
ability to convert complex financial data into clear actionable insights for senior management
High integrity, proactive mindset, ability to operate effectively under tight deadlines in a dynamic environment
Experience in implementing financial controls, risk frameworks and ensuring regulatory compliance
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