Manager, Strategic Finance and Investor Relations

First Avenue, Petaling Jaya, Malaysia
Flexible benefits package
06 Feb 2024
28 Feb 2024
Approved employers
Approved employer
Contract type
Full time
Experience level

Job Description

In this team, you will be working to attract the most appropriate capital partners for our business. This team is primarily responsible for defining and communicating the Grab story for investors. The team also aims to collect and provide market feedback and competitive intelligence that can be helpful to executives or pertinent working groups within Grab. The team works closely with a wide variety of groups to deeply understand the underlying business dynamics at Grab, as well as our investment priorities, and strategic goals.

Get to know the Role

As a Strategic Finance and Investor Relations manager, you will work closely to develop (i) the company’s strategic finance activities including financial forecasting, benchmarking, optimisation, and resource allocation as well as (ii) managing analyst and investor relationships, building investor targeting strategies, and managing various IR-related events.

The person in this role is expected to develop a strong understanding of Grab/the industry, be competent in financial modeling and simulations, who will be able to (i) build robust financial models and analyses to provide senior leadership the ability to make strategic decisions, while (ii) being able to condense such insights to continuously refine Grab’s positioning to external investors and sell-side analysts.

Key success factors for this role include strong analytical skills, strong commercial instincts, good communication and presentation skills, ability to think on your feet and work independently in a start-up environment.

The Day-to-Day Activities

  • Advise senior management on strategic decisions, business projections including remedies and implications to internal and external expectations.
  • Develop and own the financial models to facilitate budget guidance and long-term planning.
  • Benchmark internal performance vs. peer groups.
  • Track and monitor actual KPIs and financial performance against budget/forecast and iterate models where necessary.
  • Prepare quarterly earnings materials, investor presentations, and shareholder intelligence reports.
  • Analyze shareholder feedback, capital market sentiments, and other factors to enhance Grab’s investor communications

The Must-Haves

  • A degree with good honours from a top tier university in any discipline (Finance degree preferred but not required)
  • More than 3 years of experience working in a top-tier sell-side research, investment banking, investment/asset management, or consulting firm is preferred
  • Advanced Excel skills in building complex financial models.
  • Ability to translate business requirements/queries into financial analysis and financial projections/models.
  • Commercial background/experience will be a plus.
  • Able to communicate and present in a way that inspires confidence
  • Able to deal with multiple internal stakeholders across all management levels, as well as external stakeholders.
  • Experienced in working in a fast-paced environment with high-performing teams

Our Commitment

We recognize that with these individual attributes come different workplace challenges, and we will work with Grabbers to address them in our journey towards creating inclusion at Grab for all Grabbers.

For further information, and to apply, please visit our website via the “Apply” button below.

Candidates must be resident in Malaysia, or have the right to work in Malaysia.

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