131 Corporate Finance jobs in Singapore

Corporate Finance Director

Singapore, Singapore Michael Page

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Job Description

Join to apply for the Corporate Finance Director role at Michael Page .

Our client is a banking and financial services group with a consulting and advisory arm focusing on cross-border business and transactions, leveraging the Group's existing network built over the years.

Job Description
  • Work closely with advisory teams in Singapore and the regional team.
  • Originate and execute deals with support from team members.
  • Analyze and evaluate potential deals.
  • Maintain customer relationships.
The Firm's Engagement Includes
  • Cross-border M&A advisory
  • Fundraising
  • Support of business alliances
  • Strategy planning
  • Transactional due diligence
  • Support of overseas business expansion
  • Other advisory and support
The Successful Applicant
  • Relevant work experience; experience in capital markets is an advantage.
  • Relevant professional qualifications preferred (accounting, legal, financial analysis).
  • Ability to harmonize well with others, both internally and externally.
  • Professionalism.
  • Willingness to lead business development.
  • Ability to analyze risks and returns objectively.
  • Willingness to work on different types of deals.
What's on Offer

Market competitive remuneration with a good culture and regional exposure in a newly created role for an expanding business.

Contact

Gavin Teo (Lic No: R1328332 / EA No: 18S9099)

Quote job ref: JN-052025-6748371

Additional Details
  • Seniority level: Director
  • Employment type: Full-time
  • Job function: Finance and Consulting
  • Industries: Financial Services, Accounting, Banking

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Corporate Finance Analyst

069547 Cecil Street, Singapore $6000 Monthly CHINA STATE CONSTRUCTION ENGINEERING CORPORATION LIMITED Singapore Branch

Posted 13 days ago

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Job Description

Responsibilities:
· Review daily project cash inflows/outflows, verifying compliance with financial policy and regulations.
· Compile and validate financial data from various projects to ensure accuracy.
· Prepare monthly financial reports, including P&L, balance sheet, cash flow, and variance analyses.
· Draft and format various forms and reports required by Beijing HQ (e.g., project summaries, account reconciliations).
· Maintain updated compliance records, documentation, and audit trails.
· Assist in preparing monthly compliance reports/forms.
· Reconcile project-level accounts (cash, receivables, payables) and ledger entries.
· Support month-end closing with schedules and draft financial statements.
· Analyze project cash flow trends and highlight variances in reports to HQ.


Requirements:
· Master’s Degree in Finance, Accounting, Economics, Statistics or related.
· Strong analytical and quantitative skills; comfortable working with statistics.
· Excellent attention to detail and problem‑solving ability.
· Clear written and verbal communication in English and Chinese (for preparing financial reports to Beijing HQ).
· Keen interest in financial analysis, modelling, and data‑driven insights.



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Vice President -Corporate Finance

Singapore, Singapore HAITONG INTERNATIONAL SECURITIES (SINGAPORE) PTE. LTD.

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Job Description

Key Responsibilities:

  • Support the origination, business development, and execution of capital markets transactions, including IPOs and other equity or debt offerings. Identify and engage with prospective corporate clients and investors.
  • Participate in the end-to-end execution of initial public offerings (IPOs) and follow-on equity offerings, including the management of due diligence processes, preparation and review of offering documents (such as prospectuses), coordination of regulatory filings, and liaison with external stakeholders including legal counsel, auditors, underwriters, and other professional advisors.
  • Develop and analyze detailed financial models to support equity and debt financings, including valuation models, scenario analyses, and capital structure modeling
  • Undertake and perform valuation, compile research materials and perform both quantitative and qualitative analysis on markets, companies and industries.
  • Actively lead in the development of relationships with other financial partners in the region, and assist in generating leads and relationships with new and existing clients in order to expand the business.
  • Affinity for current events, critical issues, and relevant news.

Requirement:

  • Possess at least 5-7 years of relevant relevant professional experience in investment banking, private equity, structured financing, primary and private placement and M&A in Asia Pacific and or management consulting.
  • Demonstrated track record of successful transactions for HKEX IPOs as a principal officer/Deal execution/private equity funds and/or direct equity investments
  • Possess strong financial modelling skills.
  • Excellent attention to detail.
  • Possess strong communication, networking and project management skills.
  • Be a highly motivated self-starter and a collaborative team member.
  • Deal execution experience in bond issuance by both Southeast Asia issuers and Mainland issuers is highly desirable.
  • Demonstrated track record of closing successful transactions including private equity funds and/or direct equity investments in developing markets.
  • Ability to work in a fast-paced, team-based environment with minimal supervision.
  • Proven proficiency in Microsoft Office products, especially Microsoft Excel, Microsoft powerpoint and VBA.
  • Proficiency in written and spoken English and Chinese; to liaise with Chinese-speaking stakeholder
  • Candidate with more experience can be considered for the role of Senior Vice President
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RM, Structured & Corporate Finance

Singapore, Singapore WMRC Private Ltd

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Job Description

You will be responsible for achieving the various individual business targets and creating a revenue generating portfolio with consistent return on risk capital and minimal credit losses.

You will identify and establish new client relations for the Bank in the large local and corporate sector with the appropriate products and services according to the Bank’s strategies. You will maintain sound and meaningful business relationships with the various counterparties to optimize business opportunities and cross-sell banking services. You will follow up with business leads to evaluate business quality and obtain the Bank’s approval in building business relationships, which will include the preparation of all new credit applications involving the analysis of the risk and following up with the Head Office’s relevant departments. You will keep abreast of industry developments and contribute ideas to the Bank’s management in order to identify new business opportunities. You will also liaise with the Account Officer in the Credit Risk Department on the follow up of risk monitoring of the portfolio, including waiver requests, etc.

Pre-requisites
  • Degree holder and above in Business Management, Banking, Finance or a related discipline
  • Minimum 3 years of solid corporate banking experience for large listed or unlisted corporates in Singapore
  • Knowledge of the Singapore corporate sector will be an advantage
  • Highly motivated individual with the ability to create a revenue generating portfolio of new clients
  • Able to maintain a portfolio of high quality loan and exercise prudent credit assessment
  • Able to negotiate terms and conditions with clients, as well as loan documentation
  • Possess sound knowledge of commercial banking products (such as loans, deposits, bankers’ guarantees, FX and Interest rate hedging, trade financing products)
  • Possess knowledge of AML/ KYC process
  • Possess strong communication, interpersonal and financial analytical skills
  • Able to carry out all activities to the highest ethical standards

Submit your application to quoting the Job Title.

Your interest will be treated in strict confidence.

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Manager, Corporate Finance Advisory

038989 $8000 Monthly ICAPITAL HOLDINGS (SG) PTE. LTD.

Posted 1 day ago

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Job Description

Key Responsibilities:
  • Perform financial analysis, modeling, and valuation for corporate finance transactions (M&A, fundraising, due diligence).
  • Prepare pitch books, investment memorandums, and client presentations.
  • Conduct industry research, data analysis, and benchmarking to support deal execution.
  • Lead/Assist end-to-end due diligence, including: Financial DD, Commercial DD, Operational DD, Regulatory/Legal DD.
  • Collaborate with senior advisors and ecosystem partners on cross-functional projects.
  • Ensure compliance with regulatory requirements and internal processes.
Requirements:
  • Education: Bachelor’s degree in Accountancy, Finance, or related field.
  • Experience: 2–5 years in corporate finance, investment banking, Big 4 transaction services, or financial advisory.
  • Technical Skills:
    Advanced proficiency in financial modeling, Excel, and PowerPoint.
    Strong understanding of accounting principles (IFRS/SFRS) and valuation techniques (DCF, LBO, etc.).
    Experience with data analysis tools (e.g., Power BI, Python) is a plus.
  • Language: Bilingual in English and Mandarin (to liaise with Chinese-speaking clients/stakeholders).
  • Attributes: Detail-oriented, proactive, and able to manage multiple deadlines.
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Treasury, Corporate & Finance Manager

079903 Anson Road, Singapore $7500 Monthly FLINTEX CONSULTING PTE. LTD.

Posted 6 days ago

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Job Description

Overview

The role holder, reporting to the Financial Controller, is

- To be responsible for managing day-to-to-today activities in treasury and corporate functions to meet the financial and regulatory obligations of the group.

- o assist the Group in audit and accounts functions.


Duties and Responsibilities

Treasury

• T perform a broad range of treasury functions which includes cash management; bank loan management including rollovers, drawdown and compliance.

• T manage intercompany loans.

• T maintain & update all relevant banking records which include maintaining bank account Master Database, updating of consolidated report of banking facilities / charges and utilization.

• I charge of opening and maintenance of bank accounts, internet banking and application of bank facilities.

• T support business stakeholders in FX and trade financing matters.

• T identify business and market opportunities and work closely with banks for new funding scheme and evaluate current scheme for improvement.

• T coordinate with internal stakeholders on Tax compliance requests such as FATCA.

• T prepare weekly cash flow consolidation, consisting of short- and medium-term requirements.


Corporate

• T assist in the preparation of directors' and shareholders' resolutions.

• T assist in ensuring filing compliance in accordance with relevant regulatory and statutory requirements.


Accounting and Audit

• T support audit related matters including preparation of bank and directors’ confirmations.

• To ssist in the preparation of monthly management accounts and annual financial statements in accordance with applicable financial reporting standards and group guidelines.

• T assist in the review of payments and receipts.


Others

• E tablish, develop, and maintain relationship with key internal and external stakeholders by providing high level support and engagement and maintain consistent strong operational relationships.

• T work with Legal Department on Banks’ Letter of Offer and negotiate terms and conditions with our banks.

• Ad- oc duties as assigned.


Working hours:

Mon to Thur 8.30am - 6pm

Fri 8.30am - 5.30pm



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Corporate Finance Relationship Specialist

658075 $5000 Monthly ETHOZ CAPITAL LTD.

Posted 6 days ago

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Job Description

Join us today!

Basic salary + monthly incentives + allowances + performance bonus!


Key Responsibilities

  • Acquiring new corporate clients
  • Servicing and fostering relationships with existing accounts
  • Conduct reviews & customize solutions to adhere to customer’s financial needs
  • Actively seeking referrals from new & existing clients by establishing network of business contacts
  • Maintain a high standard of service quality & compliance
  • Generate & achieve revenue targets assigned

Requirements

  • Diploma/Degree in Business/Sales/Marketing with at least 2 years of relevant experiences in banking & finance/ SME / Corporate Lending.
  • Strong understanding of customer and market dynamics and requirements.
  • Able to interact & engage with others easily to generate potential business leads
  • Possess out-of-box thinking to identify new business opportunities and penetrate new accounts
  • Result driven with proven track record of performance and able to work independently.
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Vice President, Corporate Finance

048581 $11000 Monthly HONG LEONG FINANCE LIMITED

Posted 10 days ago

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Job Description

VP, Corporate Finance

Hong Leong Finance, offers a diverse portfolio encompassing a wide range of financial services, including deposits and savings for both business and individual customers, government assistance programmes for Small and Medium-sized Enterprise, corporate finance, and advisory services for corporate entities.


Job Description

We are looking for dynamic, dedicated and self-motivated individuals to join our growing Corporate Finance department.

We advise local and foreign clients across a wide range of industries on initial primary offerings, secondary/ dual listings, mergers, acquisitions, joint ventures, equity capital raising, corporate restructuring, privatisation/ delisting and fairness opinions.

Our market niche is our growing pool of listed and unlisted SME clients, and through offering them corporate services we aim to help them achieve their full potential.

The selected candidates will be actively involved in supervising day-to-day deal execution and origination activities, as a team leader.


Responsibilities:

  • Conduct deal origination and pre-mandate assessment;
  • Plan the entire timetable and coordinate with various professionals;
  • Plan and supervise due diligence process;
  • Identify issues and address, resolve or mitigate them;
  • Review relevant documents such as forecast financials and prepare submission documents;
  • Hold discussions with clients, professionals and the authorities;
  • Ensure compliance with internal procedures, external listing rules, as well as relevant regulatory requirements;
  • Arrange for book-building exercise and distribute of securities;
  • Continuing Sponsorship registered professional

Requirements:

  • Bachelor's degree in Finance, Accounting, Economics, Banking and Finance or a related field from a reputable university;
  • Registered Professional or has worked as a managerial level managing/supervising the listings of companies and at least completed 3 listings on the Singapore Exchange in the past 5 years;
  • Equivalent experience in other exchange jurisdiction, is welcome;
  • Self-motivated, willing to take initiative, strong problem-solving skills;
  • Excellent communication and interpersonal skills

What we offer

At Hong Leong Finance Ltd, we believe in providing our employees with a supportive and rewarding work environment. Some of the benefits you can expect include competitive remuneration, opportunities for career development.


(We regret that only shortlisted candidates will be notified)


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Treasury, Corporate & Finance Manager

079903 Anson Road, Singapore $7500 Monthly FLINTEX CONSULTING PTE. LTD.

Posted 13 days ago

Job Viewed

Tap Again To Close

Job Description

Overview

The role holder, reporting to the Financial Controller, is

- To be responsible for managing day-to-to-today activities in treasury and corporate functions to meet the financial and regulatory obligations of the group.

- o assist the Group in audit and accounts functions.


Duties and Responsibilities

Treasury

• T perform a broad range of treasury functions which includes cash management; bank loan management including rollovers, drawdown and compliance.

• T manage intercompany loans.

• T maintain & update all relevant banking records which include maintaining bank account Master Database, updating of consolidated report of banking facilities / charges and utilization.

• I charge of opening and maintenance of bank accounts, internet banking and application of bank facilities.

• T support business stakeholders in FX and trade financing matters.

• T identify business and market opportunities and work closely with banks for new funding scheme and evaluate current scheme for improvement.

• T coordinate with internal stakeholders on Tax compliance requests such as FATCA.

• T prepare weekly cash flow consolidation, consisting of short- and medium-term requirements.


Corporate

• T assist in the preparation of directors' and shareholders' resolutions.

• T assist in ensuring filing compliance in accordance with relevant regulatory and statutory requirements.


Accounting and Audit

• T support audit related matters including preparation of bank and directors’ confirmations.

• To ssist in the preparation of monthly management accounts and annual financial statements in accordance with applicable financial reporting standards and group guidelines.

• T assist in the review of payments and receipts.


Others

• E tablish, develop, and maintain relationship with key internal and external stakeholders by providing high level support and engagement and maintain consistent strong operational relationships.

• T work with Legal Department on Banks’ Letter of Offer and negotiate terms and conditions with our banks.

• Ad- oc duties as assigned.


Working hours:

Mon to Thur 8.30am - 6pm

Fri 8.30am - 5.30pm



This advertiser has chosen not to accept applicants from your region.

Compliance Analyst (Corporate Finance)

069547 Cecil Street, Singapore $6000 Monthly CSC ENTERPRISE (S'PORE) PTE. LTD.

Posted 13 days ago

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Job Description

Responsibilities:

  • Review and verify financial transactions and project expenditures for policy and regulatory compliance.
  • Maintain accurate compliance records, documentation, and audit trails.
  • Assist in preparing compliance reports and internal audit working papers.
  • Monitor regulatory updates (e.g. GST, SFRS) and help implement procedural changes.
  • Conduct periodic compliance checks across finance, project, and procurement workflows.
  • Coordinate with project teams and suppliers to resolve compliance or documentation discrepancies.
  • Prepare general ledger entries, reconcile accounts (cash, payables, receivables).
  • Support month-end closing by preparing account schedules and draft financial statements.
  • Process invoices, payments, petty cash, and assist in payroll and tax-related entries.
  • Other tasks assigned by the team leader or the company.

Requirements:

  • Master’s Degree in Finance, Accounting, Business or equivalent.
  • Strong analytical mindset with excellent attention to detail.
  • Good organizational, communication, and interpersonal skills.
  • Effective written English and Chinese communication skills for preparing reports and analysis for Beijing HQ.
  • Able to multitask and handle periods of high-intensity work to meet specific audit deadlines.
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