Consultz is supporting our client, a well-renowned SWF in the region, in their search for Manager Investor Relations & Treasury.
This pivotal role will play a crucial part in building and maintaining strong relationships with their investor community while conducting indepth financial and macroeconomic research.
Investor Relations & Bond Market Engagement
Manage annual engagement with bond investors, keeping them informed of key organizational developments and financial performance.
Organize and conduct roadshows, conferences, and investor meetings to build and maintain robust relationships.
Collaborate with third-party stakeholders, including banks and financial advisors, to streamline communication and processes related to investor relations.
Ensure compliance with all relevant regulations and disclosure requirements related to investor relations.
Proactively identify and address potential investor concerns and inquiries.
Financial Data & Macro Investment Expertise
Conduct indepth research and analysis of financial data, macroeconomic trends, and industry developments.
Develop and maintain expertise in investments with a strong understanding of investment banking, corporate communications, credit rating agencies, and research methodologies.
Analyze and interpret complex financial and economic data to identify potential opportunities and risks.
Prepare presentations and reports on financial performance and market trends for internal and external stakeholders.
Stay abreast of evolving industry best practices and regulatory changes.
Requirements
Bachelor's degree in Finance, Economics, or a related field.
8-10 years of overall professional experience, with a minimum of 5 years of relevant experience in Investor Relations, Capital Markets, or related fields.
Strong analytical, quantitative, and financial modeling skills.
Excellent written and verbal communication, presentation, and interpersonal skills.
Proficiency in financial modeling software (e.g., Excel, Bloomberg) and data analysis tools.
Strong understanding of capital markets, financial accounting, and regulatory requirements.
Ability to work independently and as part of a team.