Assess investment portfolio of Bangchak and Group and make recommendation on portfolio adjustment (as needed) to maximize return of investment and risk balancing
Conduct financial and risk analysis, as well as assessing related business conditions. Compare actual performance against targets and summarize key lessons learned throughout the project life cyclefrom feasibility study, project implementation/development, to post-operationin order to plan operations, manage risks, revisit Investment and divestment criteria to ensure alignment with corporate strategy, expand business investments, and consider potential divestments of subsidiaries/joint ventures in the future.
Closely coordinate with the Strategic Planning & Risk Management unit and the Business Development unit of the company, subsidiaries, and joint ventures.
Supervise and oversee the department's operations to ensure efficiency and effectiveness.
Present study results and findings to relevant committees/meetings.
Qualifications:
Bachelor's degree or Master's degree in Finance, Economics and Engineer.
At least 15 years of experience in business planning, analysis, or business development, asset management and in a related business field Renewable, Energy, E&P in preferable.
At least 12 years of experience in managing business investment portfolios in sectors such as energy, resources, services, or large-scale industries
Strong analytical and quantitative skills.
Excellent communication and interpersonal skills.
Leadership abilities and the capacity to manage team and provide coaching
Familiarity with relevant financial regulations and compliance standards.