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Corporate Planning Manager

Salary undisclosed

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Key Responsibilities:

  • Preliminary Groundwork: Collaborate closely with senior management to conduct preliminary groundwork for potential business ventures. This involves researching industry trends, market dynamics, and emerging opportunities to identify strategic avenues for growth.
  • In-Depth Industry Analysis: Conduct thorough research into industry prospects by analyzing growth trends, competitive landscapes, and market shares. Your insights will contribute to a clear understanding of the market positioning, risks, and opportunities associated with each venture.
  • Financial Assessment: Undertake a comprehensive evaluation of the financial fundamentals of target companies. This includes a meticulous analysis of financial statements, balance sheets, cash flow statements, and income statements to gauge their financial health and performance.
  • Tax Implications: Assess the tax implications of potential business ventures and investments. Collaborate with tax experts to ensure that financial strategies align with regulatory requirements and optimize tax efficiency.
  • Funding Management: Play a key role in managing funding strategies for prospective ventures, including identifying optimal capital structures, analyzing cost of capital, and recommending funding sources.
  • Treasury Management: Oversee treasury functions related to investment decisions, liquidity management, and risk mitigation. Ensure efficient utilization of financial resources to support the company's strategic objectives.
  • Financial Projections: Develop accurate and insightful financial projections based on historical data, market trends, and industry benchmarks. These projections will guide decision-making and provide a foundation for performance assessment.
  • Due Diligence: Lead due diligence processes to validate the accuracy of financial information, assess potential risks, and identify areas for negotiation in potential deals or partnerships.
  • Investor Relations: Collaborate with investor relations teams to provide financial insights that enhance communication with stakeholders. Your analyses will help build investor confidence and support effective capital market interactions.
  • Other ad-hoc tasks as assigned by management from time to time.

Requirement:

  • Minimum 4-5 years’ experience in medium sized/ Big-4 audit firms, preferable with experience in tax advisory.
  • Able to work in great pressure and tight schedule.
  • Good communication planning and co-ordination skill, able to communicate with all levels of people.
  • Familiar with Microsoft word, power point and excel.
  • Good writing and oral skills in both English & Chinese.