Life at U Mobile
We are Passionate, Innovative, Trustworthy, Team-Oriented & Fun-Loving.
At U Mobile, we are always on the lookout for great talents and passionate individuals to join our growing team.
Let's start your journey with an award-winning organization!
#UnbeatableCareerAwaits
Top Reasons To Join Us!
- Awarded For
- Most Preferred Employers in Telecommunication Industry (2022, 2023 & 2024)
- Bronze Winner in Cross-Generational Workforce Engagement (2024)
- Gold Winner for Excellence in Workplace Culture (2021)
- Comprehensive medical, dental, optical and insurance benefits
- Flexi working hours arrangements
- Staff Line & Device Subsidy
- Smart Casual Attire
- Child Parental Care Leave
- Convenient location with access to public transport (Imbi Monorail/Bukit Bintang MRT)
- Special employee discounts for selected F&B Brands
Job Summary
- To provide strategic support in relation to cashflow management, treasury initiatives and hedging activities, fund raising initiatives and corporate finance projects.
The Day-To-Day Activities
- Monitor cashflow and liquidity management
- Assess, manage and implement appropriate hedging activities to mitigate financial risk including foreign currency and counterparty risk
- Review/develop/maintain an efficient system of policies and procedures that impose an adequate level of control over treasury activities and provide support for regulatory reporting
- Monitor and manage debt/key vendor obligations and compliance with terms and conditions
- Support corporate finance and fund-raising activities including financial modelling, data analysis, deal structuring and execution
- Support preparation of reports, board papers and presentation materials for management and Board
- Work closely with business units and support cross-functional collaboration by providing department related guidance and insights
- Support and manage relationships with external parties (advisors, banks, vendors, etc)
About You
- Bachelor's degree in Finance, Accounting, Economics, or a related field (required)
- 3–6 years of experience in corporate finance, treasury, investment banking, or a related field
- Strong proficiency in Microsoft applications (Word, Excel, Powerpoint)
- Financial analysis techniques (NPV/IRR)
- Good understanding of accounting principles (a plus)
- Meticulous with strong analytical and problem-solving skills
- Excellent communication with strong teamwork and interpersonal skills.
- Ability to work under pressure and manage multiple deadlines
- Effective stakeholder management skills
What's Next Once you have applied online, our team will review your application and due to a high volume of applications, only shortlisted candidates will be notified.