ACG_3560_JOB Our client is a leading technological corporation, who is looking for a qualified candidate to join their firm. Debt Financing Arrangement
Planning & Analysis
Analyze the company’s short-term, medium-term, and long-term funding requirements.
Develop financial models to forecast cash flow and debt repayment capacity, thereby identifying the optimal borrowing limit and financing structure.
Bank Loan Execution
Proactively work with and negotiate loan terms with financial institutions, including interest rates, tenor, fees, collateral, and financial covenants.
Coordinate with relevant departments to complete loan disbursement procedures and security documentation, including mortgage, pledge, and other collateral arrangements.
Prepare and complete credit application dossiers in accordance with bank requirements, including financial statements, loan proposals, business plans, and other supporting documents.
Post-loan Management
Manage credit agreements and ensure the company’s compliance with financial and non-financial covenants.
Prepare and submit periodic reports as required by banks and lending institutions.
Equity & Capital Market Financing
Bond Issuance
Propose bond issuance structures and plans, including private placement and public offering options, to support capital raising objectives.
Coordinate with securities companies and advisory firms to prepare legal documents and offering materials, such as prospectuses, listing registration dossiers, and offering documents.
Equity Financing / Capital Raising
Prepare valuation reports to support investor negotiations and fundraising activities
Analyze and develop equity financing options, including private placement, ESOP, public offering, or M&A transactions involving capital raising.
Financial Analysis & Capital Management
Investment Analysis
Conduct financial appraisal of new investment projects from a capital requirement and capital efficiency perspective, using indicators such as NPV, IRR, and payback period.
Capital Structure Optimization
Analyze the company’s current debt-to-equity structure and propose capital restructuring solutions to achieve an optimal cost of capital and minimize WACC.
Risk Management
Identify and assess financial risks related to fundraising activities, including interest rate risk, foreign exchange risk, and refinancing risk.
Propose appropriate risk mitigation and hedging measures.
Requirements
Education
Bachelor’s degree or above in Finance, Banking, Investment, or related disciplines.
Experience
Minimum 2–3 years of experience in Corporate Finance, Investment, Financial Advisory, or Corporate Credit at banks, securities companies, or financial institutions.
Professional Knowledge
Strong understanding of corporate finance, valuation, and financial statement analysis.
Good knowledge of legal regulations related to fundraising activities and capital markets.
Skills
Strong financial modeling capability, with advanced Excel skills to build financial forecasting models.
Excellent presentation, persuasion, and negotiation skills, especially when working with banks, investors, securities companies, and financial partners.
Proficiency in English is an advantage.
Personal Attributes
Strong analytical mindset, detail-oriented, able to work under high pressure, and demonstrate a strong sense of ownership and responsibility.
Contact: Nga Nguyen
Due to the immense number of applications, only shortlisted candidates will be contacted.
About Aloha Consulting Group
Our vision is "To be the leading consulting firm in South East Asia, focused on leveraging human elements and technology to lead our partners towards higher growth and performance together with joy"