
Corporate Finance Officer
4 weeks ago
Responsibilities:
1. Financial Analysis
Lead the data gathering and internal due diligence process.
Prepare templates and create financial models to support management's decision-making process.
Conduct research and prepare materials for internal and external discussions or presentations.
Support overall coordination activities among internal and external teams.
2. Financial Modeling & Forecasting
Prepare financial models representing the business or project's current and future financial performance.
Conduct research to derive assumptions for the financial model, providing proper documentation.
Align with the immediate supervisor or department head on specific assumptions to reflect in the model.
Prepare the three-statement model incorporating all aligned assumptions.
Conduct stress tests on the financial model through scenario and sensitivity analyses, documenting results.
Present findings and results to the immediate supervisor or department head via a model walkthrough discussion.
Update the financial model based on feedback and document changes.
Provide model walkthroughs to internal and external users and address queries related to the model.
Perform other related duties as assigned.
3. Fundraising
Assist the immediate supervisor or department head in engaging with external parties for transactions.
Route mandate and engagement letters for CFO/CEO signatures, transmitting copies to external parties.
Assist the project team in the due diligence process, consolidating documents and creating virtual data rooms.
Prepare financial projections and presentation materials for potential investors.
Coordinate Q&A sessions with the project team and potential investors.
Assist in finalizing terms of facility agreements and coordinate necessary signatures.
Respond to investor queries and assist the project team in ongoing communications.
4. Liability Management
Assess the company's funding requirements and monitor all debt covenants.
Prepare quarterly debt-related information reports.
Assist in environmental analysis and consolidation of relevant information for management presentations.
Draft business cases and discussion materials.
Prepare tracking templates for funds received from fundraising and monitor fund usage.
Calculate quarterly financial ratios and monitor loan covenants.
Assist in updating the quarterly liability management deck for finance committee review.
Ensure compliance with facility agreements through the preparation of action plans.
5. Business Partnering
Provide support and advisory to various business segments.
Gather relevant information and prepare analysis based on collected data.
Assist in formulating recommendations with the immediate supervisor and preparing summary reports.
Present findings to management and ensure proper execution of recommendations.
Monitor KPIs during the monthly BSC meetings and maintain progress trackers for dissemination.
Qualifications:
Bachelor's degree in Business, Finance, Economics, or a related field.
Minimum of 1 year relevant work experience in financial analysis, planning, or related functions.
Strong proficiency in financial modeling, forecasting, and analysis.
Excellent analytical and problem-solving skills with attention to detail.
Ability to communicate complex financial concepts clearly to various stakeholders.
Collaborative mindset with the ability to work well in cross-functional teams.
Experience with fundraising, debt management, or business partnering, an advantage.
Willing to report at Rockwell Santolan Town Plaza, Mon-Fri 9am-6pm on a hybrid work arrangement.
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