Analyst, Corporate Finance at Keppel Capital International
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

02 Apr, 26

Salary

0.0

Posted On

02 Jan, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Treasury Duties, Financial Operations, Banking Transactions, Corporate Liquidity, Risk Management, Budget Forecasting, Analytical Skills, Communication Skills, Interpersonal Skills, Detail Oriented, Organized, Team Player, Loan Management, Reporting, Compliance, Trend Analysis

Industry

Financial Services

Description
JOB DESCRIPTION Job Purpose In this role which relates to middle office operations, you are required to support the business in managing financial operations, banking transactions, corporate liquidity and risks related to the company's financial and treasury activities. Key Responsibilities Support in treasury duties, including but not limited to interest fixing and fixed deposit placements, loan rollovers, loan draw downs, opening and closing of bank accounts, administration and maintenance of bank accounts and internet banking platforms Prepare month end reporting to head office and quarterly reporting to external investors Assist in preparing budget forecast, MTM and hedging reports and other management reports Conduct periodic review of debt covenants, prepare lender submissions and compliance certificates Monitor loan portfolio and underlying loan covenants and lending costs Work with bank counterparties/ colleagues to resolve issues with regards to funding/ treasury operations/ accounting/ reporting matters Collate and analyze trends relating to treasury products Attend to ad-hoc assignments from time to time, including but not limited to aligning and re-designing treasury work processes JOB REQUIREMENTS Pre-requisites: Possess Diploma or Degree in Accountancy or relevant discipline Experience in the treasury function in REITs or private equity firms will be an added advantage Excellent written and oral communication and presentation and interpersonal skills; A self-motivated team player who is meticulous, detailed oriented, organized and able to learn quickly, independently with strong analytical skills; BUSINESS SEGMENT Real Estate PLATFORM Investment Keppel is a global asset manager and operator headquartered in Singapore. With operations in more than 20 countries worldwide, we provide innovative solutions that address some of the world's most pressing needs across the energy transition, rapid urbanisation, and increasing digitalisation. With sustainability at the core of our strategy, Keppel harnesses the strengths and expertise of our business units to develop, operate and maintain real assets, which provide diverse solutions that are good for the planet, for people and for the Company. Keppel actively seeks out bright and dynamic individuals to join our talent pool. We offer our employees opportunities to grow and shape their careers, across the geographies in which we operate. Be part of our Keppel family today. Find out how Keppel is committed to shaping a brighter, better tomorrow, and building a sustainable future for all.
Responsibilities
The Analyst will support treasury duties, manage financial operations, and prepare various reports for head office and external investors. Additionally, the role involves monitoring loan portfolios and collaborating with bank counterparts to resolve issues.
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