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This is a key role to support the on-going Corporate Finance and Treasury activities including debt sourcing, financial and tax structuring for investments in the infrastructure space. The key responsibilities will include:
Find out how Keppel is committed to shaping a brighter, better tomorrow, and building a sustainable future for all.
Job ID: 150534815
Skills:
Cash Flow Management, Capital Management, hedging activities, banking relationships, financial structuring, liquidity planning, loan rollovers, Debt financing
Skills:
Loan Documentation, Loan rollovers, Bank account management, Hedging, Debt sourcing, Tax structuring, Kyc, Treasury Operations
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