Support treasury, cash management, banking relationships, and financing activities, including cashflow forecasting and liquidity planning
Assist in debt financing, fundraising, investment evaluations, due diligence, and other corporate finance initiatives
Prepare financial analyses, Board papers, management reports, and presentations to support strategic decision-making
Conduct market, industry, and competitor research to support business planning and corporate strategy
Manage corporate communications and publications, including announcements, press releases, annual reports, and presentation materials
Maintain and enhance communication channels, including the corporate website, LinkedIn page, and internal communication platforms
Support investor relations, stakeholder engagement, and corporate branding initiatives through IR/PR events, presentations, and leadership communications
Any other ad-hoc duties that may be assigned from time to time.
Requirements:
Degree in Finance, Accounting, Economics, Business, Communications, or a related discipline
Minimum 3-5 years of relevant experience in corporate finance, treasury, banking, investor relations, audit, consulting, or related fields
Analytical mindset with sound financial modelling and problem-solving capabilities
Proficient in Microsoft Excel and PowerPoint
Good business acumen with the ability to interpret financial and market information
Strong communication, stakeholder management, and corporate writing skills, with excellent proficiency in English experience in corporate communications, investor relations, or public relations would bean advantage
Detail-oriented, organized, and able to manage multiple priorities in a fast-paced environment
Familiarity with capital markets, listed company reporting, or investor relations would be an advantage
Proficiency in Mandarin would be an added advantage to liaise with Chinese-speaking stakeholders