A Financial Analysis Section Manager collects and checks data, analyzes information, and helps find solutions for various business needs. They assist in identifying opportunities, suggesting strategies, improving efficiency, and supporting in treasury and financial management.
Job descriptions:
Investment Analysis & Execution
- Preparing financial modeling and investment analysis to evaluate the feasibility and profitability of C&I rooftop solar projects and Renewable Projects.
- Support the preparation of investment proposals, financial reports, and risk assessments to aid decision-making.
- Help gather and analyze market data, industry trends, and regulatory updates to support investment strategies.
- Assist in due diligence, reviewing financial, technical, and legal documents related to project investments.
- Track investment performance post-COD, monitoring project cash flows, revenues, and financial returns.
Securing Funding & Treasury Management
- Support efforts to identify and secure funding sources, including:
- Debt financing (e.g., project finance, bank loans, working capital facilities).
- Alternative financing such as green bonds or sustainability-linked loans.
- Assist in preparing materials for lender and investor meetings, ensuring alignment with funding requirements.
- Help monitor cash flow needs, ensuring sufficient liquidity for ongoing projects.
- Support the treasury team in managing loan disbursements, repayments, and interest payments.
- Assist in implementing cash flow forecasting and financial risk mitigation strategies, such as currency hedging.
- Work closely with internal finance teams to ensure compliance with financial covenants and reporting requirements.
Required Qualification:
- Bachelor's degree in Finance, Investment, Economics, Business Administration, Accounting, or a related field.
- 4-6 years of experience in investment analysis, corporate finance, project finance, or treasury (renewable energy or infrastructure experience is a plus but not required).
- Basic understanding of financial modeling, valuation, and cash flow analysis (experience with Excel financial models preferred).
- Interested in project financing, investment structuring, and funding negotiations.
- Some knowledge of treasury management, including cash flow forecasting and working capital management, is a plus.
- Strong analytical, problem-solving, and organizational skills.
- Effective communication and interpersonal skills to interact with stakeholders, including financial institutions and internal teams.
- Able to travel up country regularly to liaise with customer, site team, partner.
- Proficient in Microsoft Office (Word, Excel, PowerPoint).
- Good command of English, both written & spoken skills and (TOEIC score 600).