Finance and Investment Manager
Job Responsibilities
- Conduct investment analysis, due diligence, and feasibility studies for potential projects;
- Build and review financial models and investment structures;
- Monitor investment execution, post-investment management, and exit strategies;
- Liaise with external parties such as investment banks, law firms, and accounting firms;
- Participate in fundraising, M&A, or listing-related projects when applicable;
- Provide professional investment insights and decision support to management.
- Familiar with listed company regulations and compliance requirements, and able to support regulatory filings and disclosure obligations.
- Prepare and manage consolidated financial statements for the Group in accordance with accounting standards.
Job Requirements
- Bachelor’s degree or above in Finance, Accounting, Economics, or related fields;
- Relevant experience in investment banking, private equity, listed companies, or major financial institutions;
- Strong financial analysis and investment evaluation skills;
- Legal knowledge is a plus (e.g. company law, securities law);
- Strong analytical thinking, resilience under pressure, and excellent communication skills.
- Strong knowledge of listed company regulations, accounting standards, and compliance requirements.
- Must be able to independently handle group consolidated financial statements.
- Familiar with investment analysis, budgeting, and treasury management.
- Proficient in Microsoft Excel and accounting software.
- Professional qualifications such as CPA, ACCA, or equivalent will be an advantage.
- Detail-oriented, responsible, and possessing strong communication and coordination skills.