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JOB PURPOSE
Assist in the evaluation of corporate proposals for the management in making strategic decisions to maximise shareholder value while balancing risks and returns.
Support the group to deliver short to long term goals.
ACCOUNTABILITIES
Corporate Finance
To conduct evaluation and review of corporate proposals and/or funding and capital raising proposals in line with corporate strategy.
To prepare and conduct a valuation of target companies by using various valuation methodologies, where applicable.
Perform analysis in terms of cost-benefit and project economics, accounting & tax implications, key legal and regulatory implications, potential upside benefits and downside risks.
To identify potential key risks and offer possible solutions/mitigations.
To prepare and review all documents pertaining to the proposal including presentation materials, legal documents, board papers, announcements, circulars to shareholders etc.
To assist debt capital market origination and execution including bonds, sukuk and various capital instruments.
To assist in the execution of capital markets and mergers and acquisitions transactions and ensure all corporate finance activities are implemented in compliance with new requirements of Bursa Malaysia, Securities Commission and other regulatory/statutory requirements.
To coordinate activities with internal cross-functional teams on matters such as tax, finance, accounting, and operations and relevant professional parties and authorities including investment bankers, lawyers, company secretaries, auditors and tax advisors.
Recovery Planning
Assist the Head, Corporate Finance & Recovery Planning to plan, coordinate and execute recovery strategies that minimise losses and ensure continuity.
Assist in the preparation of the Group Recovery Plan and BNM templates (including annual review and updates).
Any other duties as may be assigned from time to time, attending to ad-hoc projects.
JOB REQUIREMENTS
Degree in Accounting, Finance Management, Economics or other relevant field. Having a Professional qualification such as ACCA, CPA or equivalent would be an advantage.
At least 7 years of working experience in handling corporate finance transactions or audit experience or financial analysis field.
Knowledge of corporate finance, information analysis and financial diagnosis.
Advanced proficiency in Microsoft Office (Word, Excel and PowerPoint).
Strong command of both written and spoken English.
Good analytical skills for problem solving, deals structuring and negotiation.
Independent, proactive, meticulous and fast learner with strategic thinking and problem-solving skills.
An excellent team player who is able to engage internal and external stakeholders of all levels with good communication skills and interpersonal skills.
Enjoys working in a fast-paced, dynamic, and deadline-driven environment.