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Manager- Corporate Finance

New

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Key Responsibilities Financial Planning & Analysis (FP&A)
  • Prepare annual budgets, forecasts, and long-term business plans.
  • Conduct variance analysis and provide actionable insights to management.
  • Monitor financial performance against budgets and key business metrics.
  • Develop financial models for strategic initiatives and business decisions.
Corporate Finance & Fund Raising
  • Support debt raising, refinancing, and working capital management activities.
  • Coordinate with banks, financial institutions, rating agencies, and investors.
  • Evaluate financing alternatives and optimize capital structure.
  • Prepare financial information and presentations for lenders and stakeholders.
Business & Investment Analysis
  • Conduct feasibility studies and financial due diligence for investments, acquisitions, and new business opportunities.
  • Evaluate project viability using NPV, IRR, Payback Period, and other financial metrics.
  • Support mergers, acquisitions, joint ventures, and strategic partnerships.
Treasury Management
  • Monitor cash flow requirements and liquidity planning.
  • Manage banking relationships and treasury operations.
  • Optimize utilization of funds and ensure adequate working capital availability.
  • Track debt obligations and covenant compliance.

See also

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