← Công ty Cổ phần Tập đoàn Golden Gate
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Công ty Cổ phần Tập đoàn Golden Gate · Hà Nội
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Type
Full-time
Work mode
On-site
Level
Supervisor
Industry
Other
Salary
Thương lượng
Location
Hà Nội, Hà Nội, Hà Nội
Overview
- Capital Raising & Capital Markets
- Work closely with the CFO, financial institutions, investment banks and investors to structure and execute debt and equity fundraising transactions in line with the Group‘s strategic financing requirements.
- Prepare financial analyses, valuation materials, information memoranda, management presentations and other transaction documents for financing activities.
- Coordinate due diligence, negotiations and transaction execution with internal and external stakeholders.
- Treasury & Capital Management
- Develop and manage the Group‘s cash flow planning and liquidity strategy to ensure efficient capital allocation across the business.
- Optimize the Group‘s capital structure through funding strategy, banking facilities and financing arrangements.
- Build and maintain strategic relationships with banks, financial institutions and other funding partners.
- Monitor financing costs, covenant compliance, foreign exchange exposure and other financial risks, and recommend appropriate mitigation strategies.
- Support treasury initiatives to improve working capital efficiency and optimize returns on surplus cash.
- Strategic Investments & Mergers & Acquisitions
- Evaluate new investment opportunities through commercial analysis, financial modelling, valuation and investment return assessment.
- Lead or participate in the execution of mergers, acquisitions, strategic partnerships and other corporate transactions.
- Coordinate financial, legal, tax and commercial due diligence with advisors and internal stakeholders.
- Support transaction structuring, negotiation, signing, completion and post-merger integration.
- Monitor portfolio performance and provide strategic recommendations to maximize shareholder value.
- Investor Relations & Capital Markets Communication
- Support the development and execution of the Company‘s investor relations strategy.
- Prepare investor presentations, financial updates, business performance materials and other communications for existing and prospective investors.
- Manage shareholder communications and ensure compliance with obligations under shareholders‘ agreements and investment documentation.
- Coordinate fundraising, strategic investment and IPO-related communications with investors and advisors.
- Corporate Governance & IPO Readiness
- Support the Board of Directors and General Meeting of Shareholders by preparing meeting materials, resolutions and governance documentation.
- Coordinate Board approval processes for strategic investment, financing and corporate actions.
- Ensure compliance with corporate governance requirements and prepare the Company for public company standards and future IPO readiness.
- Liaise with regulatory authorities, including the State Securities Commission, stock exchanges and other relevant authorities regarding capital market matters.
- Assist in preparing disclosure documents, regulatory filings and governance reports required under applicable regulations.
- Strategic Finance Projects
- Conduct financial and strategic analyses to support key business decisions of the Board of - - - - - - Directors and Executive Management.
- Participate in business transformation, restructuring, strategic planning and other high-impact corporate finance initiatives.
- Work closely with cross-functional teams to drive strategic projects across the Group.
- Perform other assignments as requested by the CFO and the Board of Directors.
Benefits
Stock options / ESOP
Summary of facts from the official posting. View original ↗
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