Responsibilities
1. Investment Management (80%)
- Participate in developing and implementing M&A strategies and directions (short-term and long-term).
- Coordinate and execute strategic cooperation plans, M&A transactions, IPOs, etc.
- Identify, approach, and work with potential partners, advisors, and internal stakeholders to implement strategic cooperation and M&A deals.
- Build valuation models for the Group, subsidiaries, and target companies.
- Conduct financial analysis and provide investment recommendations, including:
- Business performance evaluation
- Investment project feasibility studies (FS)
- M&A deal structuring, pricing, and financial terms
- Asset valuation and cash flow analysis
- Prepare reports and execute tasks related to M&A and financial investments according to company procedures.
2. Other Responsibilities (20%)
- Contribute to the development of policies, regulations, and financial management systems (ERP, BI, HPM, etc.).
- Support and collaborate with other functions within the Finance Department as assigned by line managers and CFO.
Qualifications
- Bachelors degree or higher in Economics, Finance, Banking, or Investment.Professional certifications:CFA / CMA / ACCA (preferred).
- At least7 yearsof relevant experience in Investment, Restructuring, M&A, IPO.
- Prior experience in large-scale Group/Corporation environments (similar to our scale: 2,000 employees, 20 subsidiaries).
- Strong financial modeling, valuation, and risk management expertise.
- Excellent communication and relationship-building skills with investors and partners.
- Fluent in English (TOEIC 700+ or equivalent).