Responsibilities:
1. Financing & Treasury Optimization
Assist on formulate optimal fund-raising level alternative and financing structure which
including but not limited to;
- Optimal Cash on hands
- Optimal interest rate, tenors and currency exposure
- Diversified of lenders and financial instruments
2. Project Financing
Assist on form strategy to find optimal source of fund which suit project requirement which
including but not limited to;
- Prepare of Financing package including presentation and financial model
- Diversified of lenders and financial instruments
- Assist in all discussions and negotiations on the terms and conditions of the financing with the company's counterparties;
- Assist in other issues deemed necessary for the financing
3. Feasibility Study
Assist on feasibility study of new project and/or renovation project including but not limited
to:
- Prepare feasibility study report including information memorandum and financial model
- Assist in all discussions and negotiations regarding to feasibility of project;
- Assist in the Board of Directors approval process to complete the feasibility
- Assist in other issues deemed necessary for feasibility study
4. M&A deals
- Assist on perform financial due diligence based on target company's businessstructure, shareholding, financial and capital structures for performing a financial projection;
- Coordinate with financial advisor and/or other advisors including but not limit to legal counsel, auditor, tax advisor and accountants in their due diligence process;
- Assist on establish a financial model and perform a valuation analysis of the target company;
- Assist in all discussions and negotiations on the terms and conditions of the transaction with the company's counterparties;
- Assist in the preparation of necessary documents for information disclosure basis regarding related SEC and SET regulation
- Assist in determining appropriate source of financing including but not limited to bank loan and debenture (if any);
- Assist in the Board of Directors approval process to complete the transaction
- Assist in other issues deemed necessary for the transaction
5. Fund raising thru REIT & REIT Structuring and REIT Manager set-up
- Assist on in preparation of commercial information/documents for underwriting(s) and investor (historical and current operations, historical and forecasted financial projection, position of the assets, current financial structure, future business plans and financial model;
6.Other reponsibilities:
- Assist in the preparation of a prospectus and other necessary documents requires for filing to the SEC in connection with the Offering
- Assist in preparation of investor presentation and other related documents to solicit and interest from targeted investors for the offering and marketing of the offering, preparation of board papers and minutes etc.;
- Assist in other issues deemed necessary for the REIT and fund set-up transaction
- Asset Management & Improvement
- Assist on analysis of asset management & improvement plan including
- Assist in analyzing best use of assets and/or outlet in hotels (i.e., to F&B outlet, spa outlet, convention, laundry, energy saving project)
- Gathering market information for analysis including appraisal report, discount rate, capitalization rate and market information of related hotel or competitor.
- Assist in preparation of asset management & improvement plan_ including presentation and financial model
- Assist on approval process of asset management & improvement plan
- Assist in other issues deemed necessary for asset management & improvement plan
- Other special projects as assigned by in related to REIT/Structure Finance/Alternative Fund
- Raising/Finance Optimization and M&A activities
Qualifications:
- Bachelor or Master degree in Business, Economics, Finance or related fields with at least 2 years of experience of hotel industry, real estate industry or related business
- Advanced forecasting and modeling capabilities
- Experienced in financial analysis, analytical reasoning and presentation experience ina professional setting (i.e. FP&A, Corporate Finance, Accounting, Analysis, Consulting, etc.)
- Strong analytical and numerical skill, reasoning and presentation experience ina professional setting, team-oriented, negotiation skill, interpersonal and communication skill
- Good command of English language for business
- Strong Team Player and Fast Learner and keen on learning
- Ability to multi-task across variety of projects and timelines
- Strong Microsoft Office, particularly Excel and PowerPoint