
Manager – Investment, Corporate Strategy & Corporate Finance
Job Purpose:
The Middle Manager – Investment, Corporate Strategy & Corporate Finance is responsible for leading and supporting strategic initiatives, investment analysis, corporate planning, and financial structuring to drive long-term value creation for the company. This role plays a pivotal part in evaluating growth opportunities, managing investment portfolios, formulating strategic business plans, and supporting decision-making at the senior management and board levels.
Key Responsibilities:
1. Corporate Strategy
- Develop, refine and implement corporate strategies in alignment with the company’s long-term vision and growth objectives.
- Conduct internal and external strategic assessments including industry, competitor, and market analysis.
- Facilitate cross-functional strategic planning processes and monitor execution of strategic initiatives.
- Support M&A strategy, feasibility assessments, synergy evaluations and post-merger integration planning.
2. Investment & Portfolio Management
- Evaluate potential investment opportunities including equity, debt instruments, joint ventures, and strategic partnerships.
- Perform in-depth financial analysis, due diligence, and risk assessments of investment proposals.
- Prepare investment memoranda and presentations for Investment Committee and Board approval.
- Monitor performance of investment portfolios and provide regular reporting to stakeholders.
3. Corporate Finance
- Assist in capital structure optimization, financial modelling, and fund-raising strategies (e.g., equity, sukuk, bonds, project finance).
- Participate in budgeting, forecasting, and financial planning activities.
- Work closely with treasury, accounting, and legal teams to ensure optimal financial structuring and regulatory compliance.
- Develop and maintain valuation models, scenario analyses and sensitivity testing for strategic and financial decision-making.
4. Stakeholder Engagement
- Liaise with internal stakeholders including business units, senior leadership and Board Committees.
- Engage with external parties such as investment bankers, financial advisors, regulators, and strategic partners.
Qualifications & Experience:
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration or a related field. A Master’s degree (MBA/Finance) or professional qualification (e.g., CFA, CPA, ICAEW, ACCA) is an added advantage.
- Minimum 4 years of relevant experience in investment analysis, strategy consulting, corporate finance, or related areas.
- Experience in financial modelling, valuation, due diligence, and strategic planning.
- Exposure to capital markets, mergers & acquisitions, and investment structuring is highly desirable.
- Strong analytical, communication, and presentation skills.
- High proficiency in Excel, PowerPoint, and financial analysis tools.
- Demonstrated ability to manage multiple projects and work collaboratively across teams.
Key Competencies:
- Strategic thinking and problem-solving
- Financial acumen and investment analysis
- Business and commercial awareness
- Leadership and stakeholder management
- Excellent written and verbal communication
- Project management and attention to detail
- Integrity, discretion, and sound judgement
To apply, please send your resume via email to [email protected] / [email protected].
Job Type: Full-time
Pay: RM3,800.00 - RM4,000.00 per month
Benefits:
- Maternity leave
Schedule:
- Monday to Friday
Work Location: In person
Application Deadline: 04/17/2025
Expected Start Date: 04/21/2025