Responsibilities Corporate Strategy Support the Annual Strategy Cycle end-to-end by collaborating with Business Units to gather and synthesise inputs, and maintaining the Group financial model to reflect evolving strategic priorities. Prepare presentation decks, scenario analyses, and WACC for Senior Management. Conduct market research, competitive analysis, and feasibility studies for new sectors, market entry, and M&A targets. Work directly with Business Units on strategic initiatives and update quarterly Board reporting packs. Fund Management Support fundraising for the Group's Private Capital platform, including investor pipeline management and VDR coordination. Draft and maintain PPMs, Teasers, and Pitchbooks. Manage the DDQ database, coordinate LP queries, and support KYC/AML onboarding. Prepare capital call and distribution notices, LP equalisation calculations, and quarterly fund performance reports. Investment Support Build and maintain fund-level models to track returns, carried interest waterfalls, and portfolio performance. Review and stress-test financial models from Business Units before IC submission. Support transaction work streams including financial due diligence, valuation, and deal structuring. Undertake any other duties assigned by superiors diligently and professionally. Requirements Degree in Finance, Economics, Real Estate, or related field. 2 to 5 years in Investment Banking, Private Equity, Real Estate Fund Management, or Corporate Strategy. Strong financial modelling and Excel skills. Exposure to fundraising processes (PPMs, DDQs, LP interaction) is a plus. Comfortable reviewing commercial terms in LPAs, SHAs, and Loan Agreements. CFA candidacy or CA/CPA (or working towards) preferred. Strong written and visual communication skills.
SGD 2 - 3 / Monthly
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