Job Details
Nationality Requirement: Malaysia
Job Description
A. Corporate Finance
1. Capital Structure & Funding Strategy
Develop and implement the Group’s capital structure strategy.
Advise the Board and senior management on funding mix (debt vs equity) and cost of capital optimization.
Lead capital raising initiatives including:
Private placements
Rights issues
Sukuk / bond issuances
Term loans and syndicated facilities
Negotiate financing terms and manage banking relationships.
Monitor compliance with loan covenants and financing obligations.
2. Corporate Exercises & Transactions
Lead and manage:
Mergers & acquisitions
Disposals and restructuring exercises
Joint ventures
Related party transactions (RPT)
Conduct valuation analysis, financial modeling, and feasibility studies.
Coordinate due diligence and transaction documentation.
Oversee financial integration of completed transactions.
3. Regulatory Compliance & Governance
Ensure compliance with:
Bursa Malaysia Listing Requirements (Main / ACE Market)
Securities Commission Malaysia guidelines
Companies Act 2016
MFRS standards
Oversee preparation of:
Bursa announcements
Circulars to shareholders
Corporate proposal submissions
Liaise with regulators, principal advisers, company secretaries, and legal counsel.
Support Board and Audit Committee reporting requirements.
B. Treasury Management
4. Cash & Liquidity Management
Oversee Group cash flow planning and liquidity management.
Develop short-term and long-term cash flow forecasts.
Optimize working capital and ensure adequate funding for operations and expansion.
Manage intercompany funding and cash pooling arrangements.
5. Financial Risk Management
Establish treasury policies and financial risk frameworks.
Manage exposure to:
Foreign exchange risk
Interest rate risk
Commodity price risk (if applicable)
Implement appropriate hedging strategies.
Monitor counterparty and credit risks.
6. Banking & Financial Institution Management
Maintain strong relationships with local and international banks.
Lead negotiations on credit facilities, trade lines, and treasury products.
Diversify funding sources to reduce concentration risk.
7. Treasury Operations & Controls
Oversee daily treasury operations including payments, investments, and cash positioning.
Ensure strong internal controls over treasury transactions.
Strengthen SOPs for cash management and financial risk oversight.
Ensure compliance with internal policies and governance frameworks.
C. Strategic & Leadership Responsibilities
8. Financial Planning & Strategic Support
Support Group budgeting and financial forecasting processes.
Provide capital allocation analysis and investment appraisal support.
Develop scenario analysis and stress testing models.
Present financial strategies and treasury updates to senior management and Board.
9. Investor & Stakeholder Management
Support investor relations activities including analyst briefings and financial presentations.
Ensure transparent communication with shareholders and financial stakeholders.
Monitor market conditions and recommend funding strategies accordingly.
10. Team Leadership
Lead and develop the corporate finance and treasury teams.
Establish KPIs and governance standards.
Build a high-performance, compliance-driven finance culture.
Experience Requirements
Minimum 12–15 years of progressive experience in:
Corporate finance
Treasury management
Capital markets
Public-listed company environment
At least 5 years in a senior finance leadership role.
Proven experience in:
Fundraising and banking negotiations
Bursa Malaysia regulatory compliance
Managing multi-million or billion-ringgit financing facilities
Hedging and financial risk management
Experience dealing directly with:
Bursa Malaysia
Securities Commission
Investment banks and commercial banks
External auditors
IPO experience is an added advantage.
Qualification Requirements
Bachelor’s Degree in Finance, Accounting, Economics, or related discipline (mandatory).
Professional qualifications such as:
ACCA / CPA / CA (MIA member preferred)
CFA (advantageous for capital markets expertise)
MBA or Master’s Degree in Finance/Business Administration (advantageous).
Strong technical knowledge of:
Bursa Listing Requirements
MFRS
Treasury risk management frameworks
Financial modeling and valuation techniques