Title: Manager - Structured Finance & Capital Markets
Company Name: Rancon Holdings Limited
Vacancy: --
Age: Na
Job Location: Dhaka
Salary: Tk. 75000 - 90000 (Monthly)
Experience:
Key Responsibilities
Identify and evaluate structured financing opportunities based on business and Group funding requirements, and develop structures that balance cost, risk, tenor, security, repayment and investor/lender requirements, including solutions beyond conventional bank borrowing.
Support and coordinate IPO, bond issuance and other capital-market transactions, working with merchant banks, investment banks, issue managers, arrangers and advisors, and tracking milestones to timely completion.
Support the structuring, negotiation and documentation of syndicated and club financing through to financial close, coordinating with lead arrangers and participating banks and analyzing pricing, covenants, security and repayment terms.
Build detailed financial models and conduct valuation, feasibility and sensitivity analysis; analyze capital structure and financing alternatives; and evaluate the financial implications and risks of proposed transactions.
Support due diligence and coordinate the preparation and review of financial information and transaction documentation.
Manage relationships with investment banks, merchant banks, banks, NBFIs, advisors, legal firms, auditors and other transaction partners; coordinate with internal Finance, Treasury, Legal, Tax and business teams; and facilitate information flow during execution.
Prepare investment/financing proposals, management presentations, transaction updates and recommendations for senior management.
Track capital-market developments to identify financing opportunities for the Group, and support strategic initiatives on capital structure, fundraising and corporate finance.
Requirements
Education
Bachelor's degree in Finance, Accounting, Economics, Business Administration or a relevant discipline. MBA/Master's in Finance is preferred.
Relevant professional certifications such as CFA, CA (ICAB), ACCA, CMA or FRM will be an advantage.
Experience
8–10 years of relevant professional experience, including at least 2 years in a managerial capacity.
Background in a large diversified Group/business group, large MNC, large conglomerate, or an organization with multiple business verticals/SBUs and complex financing needs is strongly preferred, as is experience in investment banking, merchant banking or financial advisory firms.
Proven experience in structured finance, corporate finance, investment banking, merchant banking, capital markets, financial advisory or transaction advisory.
Demonstrable experience in, or strong exposure to, IPO, bond issuance, syndicated financing and/or other structured financing transactions.
Experience managing complex transactions involving multiple internal and external stakeholders is highly preferred.
Group-level financing, capital restructuring, fundraising or strategic financing experience across multiple businesses is an added advantage.