Overview
Finance Specialist Jobs in Hanoi Capital Region at Aloha Consulting Group
Title: Finance Specialist
Company: Aloha Consulting Group
Location: Hanoi Capital Region
Our client is a leading technological corporation who is looking for a qualified candidate to join their firm.
Debt Financing Arrangement
Planning & Analysis
- Analyze the company’s short-term, medium-term, and long-term funding requirements.
- Develop financial models to forecast cash flow and debt repayment capacity, thereby identifying the optimal borrowing limit and financing structure.
Bank Loan Execution
- Proactively work with and negotiate loan terms with financial institutions, including interest rates, tenor, fees, collateral, and financial covenants.
- Coordinate with relevant departments to complete loan disbursement procedures and security documentation, including mortgage, pledge, and other collateral arrangements.
- Prepare and complete credit application dossiers in accordance with bank requirements, including financial statements, loan proposals, business plans, and other supporting documents.
Post-loan Management
- Manage credit agreements and ensure the company’s compliance with financial and non-financial covenants.
- Prepare and submit periodic reports as required by banks and lending institutions.
Equity & Capital Market Financing
Bond Issuance
- Propose bond issuance structures and plans, including private placement and public offering options, to support capital raising objectives.
- Coordinate with securities companies and advisory firms to prepare legal documents and offering materials, such as prospectuses, listing registration dossiers, and offering documents.
Equity Financing / Capital Raising
- Prepare valuation reports to support investor negotiations and fundraising activities
- Analyze and develop equity financing options, including private placement, ESOP, public offering, or M&A transactions involving capital raising.
Financial Analysis & Capital Management
Investment Analysis
- Conduct financial appraisal of new investment projects from a capital requirement and capital efficiency perspective, using indicators such as NPV, IRR, and payback period.
Capital Structure Optimization
- Analyze the company’s current debt-to-equity structure and propose capital restructuring solutions to achieve an optimal cost of capital and minimize WACC.
Risk Management
- Identify and assess financial risks related to fundraising activities, including interest rate risk, foreign exchange risk, and refinancing risk.
- Propose appropriate risk mitigation and hedging measures.
Requirements
Education
- Bachelor’s degree or above in Finance, Banking, Investment, or related disciplines.
Experience
- Minimum 2–3 years of experience in Corporate Finance, Investment, Financial Advisory, or Corporate Credit at banks, securities companies, or financial institutions.
Professional Knowledge
- Strong understanding of corporate finance, valuation, and financial statement analysis.
- Good knowledge of legal regulations related to fundraising activities and capital markets.
Skills
- Strong financial modeling capability, with advanced Excel skills to build financial forecasting models.
- Excellent presentation, persuasion, and negotiation skills, especially when working with banks, investors, securities companies, and financial partners.
- Proficiency in English is an advantage.
Personal Attributes
- Strong analytical mindset, detail-oriented, able to work under high pressure, and demonstrate a strong sense of ownership and responsibility.
Contact: Nga Nguyen
Due to the immense number of applications, only shortlisted candidates will be contacted.