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corporate finance director (regional).

job details

summary

    job details

    about the company

    Our Client is a leading MNC with strong footprints across the region and a leader within the sector they operates in. Despite the Covid situation, their business is doing better and with a positive outlook progressing through 2022, they are looking for a strong corporate finance director to lead the team and drive business strategies and development.

    about the job

    Reporting to the CFO, you will lead the team overseeing the group’s liquidity, cash flow forecasting, risk management and debt financing strategy of the business to support the business development in the growing market in the region. You will supervise the team managing cash flow planning and modelling to forecast cash flow position, ensuring sufficient liquidity to meet on-going capital investment and operational requirements, developing strategies for cash movements within the group. You will develop and execute the optimal short and long term financing strategy of the business and business partner to the bankers to ensure smooth banking facilities agreements, also working closely with business development, project and asset management and other relating functional stakeholders. You will also oversee the risk management to develop and implement hedging strategies to mitigate financial risks exposure to FX and interest rates. In addition, you will also supervise the corporate reporting and governance area, developing group policies and SOP lik Treasury policy, hedging policy, credit risk monitoring etc.

    skills and experience required

    • Degree in business/economics, finance or accounting or related professional qualification, with relevant years of corporate financing and treasury experience in the region.
    • Experience in financing on project and corporate level would be highly desirable
    • Strong market knowledge and network with banking relations in the region
    • Effective communication, excellent critical and reasoning skills with strong commercial business acumen
    • Strong interpersonal and presentation skills, with the ability to interact with stakeholders across all levels in the organisation and leading complex negotiations
    • Prior experience managing corporate treasury team would be highly preferred

    To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.

    (EA: 94C3609/R1768186)

    Applicants must be fully vaccinated or have a valid exemption in accordance with MOM’s regulations to allow them to enter the workplace. Applicants may be required to share verifiable COVID-19 vaccination documents or proof of a valid exemption at the point of offer. Randstad Pte. Limited and/or the Client reserves the right to withdraw an offer if the applicant fails to provide verifiable COVID-19 vaccination and/or proof of exemption documents.

    about the company

    Our Client is a leading MNC with strong footprints across the region and a leader within the sector they operates in. Despite the Covid situation, their business is doing better and with a positive outlook progressing through 2022, they are looking for a strong corporate finance director to lead the team and drive business strategies and development.

    about the job

    Reporting to the CFO, you will lead the team overseeing the group’s liquidity, cash flow forecasting, risk management and debt financing strategy of the business to support the business development in the growing market in the region. You will supervise the team managing cash flow planning and modelling to forecast cash flow position, ensuring sufficient liquidity to meet on-going capital investment and operational requirements, developing strategies for cash movements within the group. You will develop and execute the optimal short and long term financing strategy of the business and business partner to the bankers to ensure smooth banking facilities agreements, also working closely with business development, project and asset management and other relating functional stakeholders. You will also oversee the risk management to develop and implement hedging strategies to mitigate financial risks exposure to FX and interest rates. In addition, you will also supervise the corporate reporting and governance area, developing group policies and SOP lik Treasury policy, hedging policy, credit risk monitoring etc.

    skills and experience required

    • Degree in business/economics, finance or accounting or related professional qualification, with relevant years of corporate financing and treasury experience in the region.
    • Experience in financing on project and corporate level would be highly desirable
    • Strong market knowledge and network with banking relations in the region
    • Effective communication, excellent critical and reasoning skills with strong commercial business acumen
    • Strong interpersonal and presentation skills, with the ability to interact with stakeholders across all levels in the organisation and leading complex negotiations
    • Prior experience managing corporate treasury team would be highly preferred

    To apply online please use the 'apply' function, alternatively you may contact Dylan Lim at 6510 1366.

    (EA: 94C3609/R1768186)

    Applicants must be fully vaccinated or have a valid exemption in accordance with MOM’s regulations to allow them to enter the workplace. Applicants may be required to share verifiable COVID-19 vaccination documents or proof of a valid exemption at the point of offer. Randstad Pte. Limited and/or the Client reserves the right to withdraw an offer if the applicant fails to provide verifiable COVID-19 vaccination and/or proof of exemption documents.