MANAGER, Corporate Finance
Requirements
- Bachelor of Accounting / Finance / Statistics / Forensic Accounting or Risk Management or related Degree holder with honors from local Universities or equivalent recognized qualifications by Government; AND
- Credit in Bahasa Melayu (including oral test) in Sijil Pelajaran Malaysia or equivalent qualification recognized by the Government;
- Eight (8) years working experience is required in investment, financial and credit risk management with minimum five (5) years at managerial level;
Preference:
- Working knowledge of Process Mapping and Business Architecture, including use of related software and tools (i.e. Visio, Microsoft Office applications particularly Words, Excel and Access); v. Good technical, analytic and communication skills;
- Good analytical research and problem-solving skills;
- Must be able to work under tight deadlines efficiently and with high quality viii. Good organizational skills with demonstrated attention to detail;
- Must be flexible and able to adapt in a changing business environment;
- Good verbal and written communication skills in Bahasa Malaysia and English and the ability to interact professionally with a diverse group (executives, managers and subject matter experts); xi. Must possess a positive attitude and strong work ethic; and
- Willingness to learn and be a team player.
Job Duties And Responsibilities
- Perform risk research analysis on bonds and financing for company and its subsidiaries, prepare risk assessment on proposal as well as highlight risk concerns on the proposal and monitor investment performance;
- Develop and review policies and procedures for the management of credit risks;
- Conduct risk analyses pertaining to credit risk inherent in company investments;
- Prepare risk reports for Senior Management and Risk, Audit and Governance Committee; and
- Perform other responsibilities and duties periodically assigned by superior to meet day-to-day operational work and / or other requirements.