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Malaysia Airports

Manager - Corporate Finance (Corporate Structuring & Funding Strategies)

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  • Posted 19 days ago
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Job Description

About the job:

This is a full-time, on-site role based in Sepang for a Manager - Corporate Finance (Corporate Structuring & Funding Strategies).

  • Provide strategic financial advisory to support value creation across all phases of the economic cycle.
  • Develop and maintain integrated financial models, including cash flow, funding, valuation, and scenario analysis, to support investment and funding decisions.
  • Lead corporate structuring, capital optimisation, and funding strategy initiatives for the Group.
  • Manage and execute corporate finance and investment transactions, including acquisitions, divestments, and debt and equity capital market activities.
  • Coordinate cash flow projections and liquidity analysis with business and project teams.
  • Structure, negotiate, and manage corporate loans and banking facilities, ensuring ongoing compliance with terms and covenants.
  • Partner closely with Group Finance functions and finance teams across business units to deliver cohesive financial strategies.
  • Liaise with external stakeholders, including banks, legal advisors, tax consultants, investment banks, and regulators.
  • Support treasury strategy, daily cash management, and settlement processes.
  • Manage financial risk exposures, including foreign exchange, interest rate, and cross-currency hedging.
  • Drive financial planning, liquidity forecasting, funding procurement, and optimisation of investment returns.

Qualifications

  • Strong analytical skills to assess financial data, trends, and business performance
  • Expertise in financial modeling and finance-related decision analysis
  • Proficiency in understanding and interpreting financial statements
  • Experience in financial reporting and accounting compliance
  • Excellent problem-solving and communication skills
  • Bachelor's degree in Finance, Accounting, Business, or related field
  • Professional certification such as CFA, CPA, or ACCA is an advantage
  • Experience 5 years in corporate finance and treasury, preferably with at least four years in audit or strategy and transactions/deals in a Big 4 firm, or direct and relevant Corporate Finance and Treasury experience in a large, reputable organisation of similar scale and complexity.

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Job ID: 141556687