Manager - Corporate Finance (Corporate Structuring & Funding Strategies)

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Date: 14 Jan 2026

Location: Sepang, 10, MY, 64000

Company: Malaysia Airports Holdings Berhad

Job Description

POSITION GENERAL SUMMARY

  • Provide financial advisory on strategic and financial services through every phase of the economic cycle for all critical areas, with a focus on increasing company value.

ESSENTIAL POSITION FUNCTIONS

  • Prepare and develop integrated financial models (including cash flow, funding, valuation, and scenario analysis) to support investment decisions, funding strategies, and corporate finance transactions.
  • Coordinate cash flow projections and analysis with project teams to evaluate funding proposals and liquidity requirements.
  • Perform complex business analysis, evaluation and strategic planning in line with MAHB’s objectives.
  • Manage, structure, and execute corporate finance and investment exercises for MAHB Group, including capital structure optimisation, acquisitions, divestments, and debt and equity capital market transactions.
  • Structure and execute corporate loans and banking facilities and ensure on-going compliance with the terms and conditions
  • Manage and liaise with external parties including lawyers, tax agents, investment banks, and regulators in analysing proposals and preparing transaction structures and recommendations for Management and the Board.
  • Work closely with Group Finance divisions (Group Accounts, Tax, Regulatory Economics, Investor Relations) and finance teams across MAHB business units.
  • Assist in overseeing and strategising treasury operations, including daily cash management and settlement processes.
  • Manage hedging and financial risk exposures such as foreign exchange, cross-currency swaps, and interest rate swaps.
  • Perform financial planning, liquidity forecasting, procurement of funds, and enhancement of investment returns.

Key Challenges

  • Managing MAHB Group financial and liquidity risk.
  • Ensuring timely availability of funds in line with business plans and ad hoc requirements.
  • Securing funding above benchmark terms.
  • Maintaining investment returns above benchmark rates.

Skills

  • Strong financial modelling, analysis, and report writing skills.
  • Sound business acumen with effective stakeholder communication skills.
  • Strong treasury and capital markets knowledge supported by relevant experience.
  • Self-driven, resilient, and able to perform under pressure.
  • Excellent oral and written English skills with good attention to detail.

Education

External

  • Degree in Accounting, Finance, or Banking. A Master’s degree is an added advantage.
  • Chartered Financial Analyst (CFA) qualification is an added advantage.

Relevant Industries

External

  • Degree with minimum 5 years relevant experience, preferably with at least four years in audit or strategy and transactions/deals in a Big 4 firm, or direct and relevant Corporate Finance and Treasury experience in a large, reputable organisation of similar scale and complexity.


Job Segment: CFA, Corporate Finance, Compliance, Financial Analyst, Strategic Planning, Finance, Strategy, Legal

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