Job Description
The ideal candidate will work closely with senior management to support financial strategy, business decision-making, and corporate financing initiatives. This role requires strong analytical capabilities, hands-on financial modeling skills, and the ability to manage complex financial data.
Responsibilities
- Manage company liabilities, including loan structuring, monitoring, and repayment strategy
- Handle bridging loans and local bank facilities, particularly for joint ventures and bond refinancing
- Prepare and deliver accurate and timely financial reports for management and stakeholders
- Develop and maintain financial models (base case and scenario analysis)
- Support corporate actions such as fundraising, restructuring, or investment activities
- Act as a business partner to provide financial insights and strategic recommendations
Qualifications
- Bachelor's degree in Finance, Accounting, or a related field
- Minimum 3 years of relevant experience (property sector is a strong advantage)
- Strong analytical thinking and problem-solving skills
- Advanced proficiency in Microsoft Excel and financial modeling
- Solid understanding of IFRS and PSAK (updated standards)
- Ability to work independently and communicate effectively with stakeholders