We are pleased to announce the following vacancy for Corporate Finance Specialist in Financial Controlling within the Finance division. In keeping with our current business needs, we are looking for a person who meets the criteria indicated below.
Brief
Posting
Reporting to the Group Treasurer, the individual is responsible for Providing financial analysis to support Group capital structure decision making. He/ She will also build financial models to enable effective management of Treasury resources across the Group. The individual will provide financial analysis to support execution of complex debt transactions, and M&A Transactions
Key
Responsibilities
- Evaluates
and recommends optimal capital structure
- Applies
corporate finance and funding techniques to complex transactions
- Develops
funding structures using knowledge of subsidiary finance requirements
- Building/reviewing
financial models.
- Provide
transactional and evaluation support on acquisitions and disposals.
- Provide
Group long-term Cash flow forecasts.
- Perform
stress testing, scenario planning and analysis on company’s cash flows.
- Produce
debt and interest forecasts, providing analysis of variances
- Preparation
of Board updates on Group Funding
- Apply
accounting and taxation principles relevant to Treasury to optimize
resources
Qualification
- University
degree from a recognized university.
- Professional
qualification (CPA, ACCA, CFA)
- 5
years in Corporate finance/Transactions
- Relevant
experience in a financial institution will be an added advantage.
How to Apply
Last Date to Apply: Nov 2, 2022
If you feel that you are up to the challenge and possess the
necessary qualification and experience, kindly proceed to update your candidate profile on the recruitment portal and then Click on the apply button. Remember to attach your resume.
Persons with Disabilities (PwD) and Female candidates are highly
encouraged to apply.