We are seeking a highly analytical and strategic finance professional to lead our treasury functions, drive M&A initiatives, and ensure corporate governance compliance. The ideal candidate will possess a deep understanding of the Real Estate sector, expert-level knowledge of corporate and asset valuation, and extensive experience navigating the
Oversee group-level cash flow, liquidity planning, and working capital optimization across diverse real estate portfolios.
Develop and execute comprehensive hedging strategies to mitigate currency and interest rate risks. Utilize financial instruments (e.g., Interest Rate Swaps, Cross-Currency Swaps, Forwards) to stabilize borrowing costs.
Lead rolling cash flow and treasury forecasting, including proactive sensitivity analysis on interest rate environments and FX volatility.
Manage debt financing, negotiate with financial institutions, and optimize capital structure to minimize the Weighted Average Cost of Capital (WACC).
Lead complex valuation exercises, including DCF, public comparable analysis, and precedent transaction analysis for both standalone real estate assets and corporate entities.
Direct the end-to-end M&A process, from pipeline development and due diligence to complex deal structuring and negotiation.
Build and maintain robust financial models (IRR, NPV, Yield on Cost) to evaluate acquisition targets and divestment opportunities
Bachelor’s Degree in Finance, Accounting, Economics, or Real Estate. CFA/CA/ACCA or equivalent professional certification is highly preferred.
Strong working knowledge of direct and indirect tax regimes relevant to real estate holdings.
Data lowongan bersumber dari glints. Tombol “Lamar” mengarahkan Anda ke halaman aslinya.