about the company
Our client is an established global leader within the Technology, Media, and Telecommunications (TMT) sector with a strong, growing international presence and a collaborative corporate culture centered in Singapore.
about the job
This position offers an exciting opportunity to drive the operational efficiency of large-scale corporate funding operations and gain deep exposure to sophisticated financing structures.
Manage the end-to-end administration of debt facilities by preparing utilization requests, drawdown schedules, and rollover documentation.
Maintain comprehensive records of financial instruments, covenants, asset registers, and critical external agreements to ensure institutional readiness.
Coordinate cross-functional inputs from internal legal, project, and finance business units to address information requests from external financial institutions.
Compile and draft periodic reporting packages, monitoring compliance timelines, conditions precedent, and sustainability-linked benchmarks.
Act as the primary administrative point of contact for external partners, managing documentation workflows and scheduling asset reviews under leadership guidance.
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skills and experience required
A bachelor degree in finance, accounting, economics, or a related commercial discipline.
Proven track record of corporate treasury operations, commercial banking, or financial audit experience.
Solid baseline knowledge of corporate debt structures, loan documentation workflows, and compliance framework monitoring.
Proficiency in spreadsheet modeling alongside business-level verbal and written communication skills.
Join a dynamic, high-growth environment offering clear professional development, mentorship from senior leaders, and long-term career progression.
To apply online please use the 'apply' function (EA: 94C3609/ R1439933). Alternatively, contact Agnes Lim for a confidential chat.