Job Responsibilities: Support the Group on corporate finance, strategic planning, debt capital market and equity fund raising. Prepare and conduct feasibility studies, financial modelling, due diligence, and risk assessment for any potential corporate exercises including M&As, private placement, etc. Develop the long-term financial plans within the Group, included financial forecast and budgeting. Drive the ESG and Risk Management initiative within the Group, from planning to executing the activities which aligned with the ESG and Risk Management initiative. Responsible for integrating ESG and Risk Management consideration into business strategy and direction. Prepare and compile ESG reports and disclosures, ensuring compliance with relevant frameworks and regulations. As the focal point for coordinating, monitoring, and championing special project related to ESG and risks management within the Group. Compile and prepare for Annual Reports and relevant circulars/ announcement in accordance with Bursa requirement and other regulatory requirements. Promote investor relations function via constant engagement with research analysts and fund house on the Group\'s strategic direction. Qualification & Competencies Requirements: At least 7 years of experience in Corporate Finance or similar role, preferably in property development and/or construction industry. Possess at least a Degree in Economics, Finance, Banking or equivalent. Proficiency in financial analysis and financial modelling. Familiar with Bursa Malaysia Listing Requirements.
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