Corporate Finance Manager (Investment Monitoring & Reporting)
Role Overview
- The Corporate Finance Manager supports the Group's corporate finance and investment management activities, with a primary focus on monitoring the financial and operational performance of investee companies, preparing management and investment reports, and providing analytical support to decisionmaking.
- This role is suited for a managerlevel professional who is comfortable with recurring reporting, performance analysis, and structured financial oversight, with limited and supportbased exposure to the review of potential investment initiatives.
Key Responsibilities
1) Portfolio&Performance Monitoring (Primary Focus)
- Monitor financial and operational performance of investee companies against approved budgets, business plans, and KPIs.
- Prepare periodic portfolio performance reports, variance analyses, and dashboards for senior management and investment committees.
- Identify key performance trends, risks, and issues across the portfolio and highlight areas requiring management attention.
- Track shareholderlevel matters, reporting requirements, and ongoing financial obligations.
2) Financial Analysis&Modelling
- Maintain and update financial and valuation models for investee companies and internal portfolio reporting.
- Perform financial, scenario, and sensitivity analyses to support performance reviews and internal planning.
- Support periodic valuation updates and internal finance reporting requirements.
3) Limited Investment & Corporate Finance Support
- Provide analytical support for initial or highlevel reviews of investmentrelated matters, as required.
- Assist with background financial analysis, research, and preparation of supporting materials.
- Participate in evaluation and due diligence activities on an adhoc basis, under the guidance of senior team members.
- Support other corporate finance initiatives as assigned (e.g. internal reviews, restructurings, special analyses).
4) Governance&Stakeholder Support
- Assist in preparation of management, investment committee, and board materials, primarily relating to portfolio performance and financial analysis.
- Coordinate with internal stakeholders (finance, legal, strategy), management of investee companies and advisers to support monitoring and reporting processes.
- Maintain clear documentation of analyses, assumptions, and reporting outputs.
Requirements
- Bachelor's Degree and/or Master's Degree from a reputable university in Finance/Accounting, Economics, Engineering, Business Studies/Administration/Management, Mathematics or relevant discipline.
- Candidates with CFA and/or MBA are highly desired.
- 10+ years of relevant experience in corporate finance, investment management, asset management, equity research, strategy, or related roles.
- Strong experience in financial analysis, modelling, and performance reporting.
- Comfortable with recurring reporting cycles and structured analytical work.
- CFA or MBA is an advantage but not mandatory.
- Ideally possess strong working knowledge of the Telecoms Media & Technology (TMT) sector. Familiarity with additional sectors such as Real-estate, Energy&Natural Resources, Financial Institutions and Consumer Retail would be an advantage.
Key Attributes
- Analytical, detailoriented, and structured.
- Strong written and presentation skills, particularly for managementlevel reporting.
- Comfortable working in a support and advisory capacity.
- Wellorganised and able to manage ongoing reporting responsibilities.
Only shortlisted candidates will be contacted.