Financial Planning and Analysis Manager

Financial Planning and Analysis Manager

  • Specialisations
    Legal
  • Job Type
    Permanent / Full Time
  • Location
    Singapore
  • Published

About the job

We are working with a leading international investment platform with a specialised focus in the transportation and infrastructure asset sector. As the business continues to expand its footprint across Asia Pacific, an opportunity has arisen for an experienced FP&A professional at the Vice President level to join their Singapore office. 
 
This is a highly analytical and commercially involved role, supporting both internal and external financial reporting requirements, as well as debt facility management and investment underwriting activities. The ideal candidate will bring strong financial modelling expertise, experience in managing complex term loan structures, and a background in infrastructure or asset-heavy investment environments. 
 
If you’re seeking a dynamic, growth-oriented environment where you can directly contribute to strategic financial decisions and investor reporting, this is an excellent opportunity to be part of a high-performing, globally connected team. 
 
Key Responsibilities: 

  • Prepare reporting packages for internal and external stakeholders such as investors and lenders, focusing on loan performance metrics. 
  • Analyse existing and potential debt facilities, including term loan structures and covenant compliance. 
  • Build, maintain, and update financial models with term loan facilities including cash flow waterfalls, amortization schedules, and capital structures. 
  • Work with investment and finance teams to manage interest expense forecasts, debt repayment schedules, and hedging strategy analysis. 
  • Assist credit risk analysis of potential customers to support investment and underwriting decisions. 

 
Preferred Skills: 

  • Strong experience with term loan facility modelling, DSCR, LTV, and covenant tracking. 
  • Understanding of capital structures in aviation or infrastructure investing. 
  • Advanced Excel skills, including financial modelling of cash sweeps and mandatory prepayment triggers. 
  • Proficient in other Microsoft Office applications 
  • Excellent command of written and spoken English 
  • Prior experience in preparing financial reports for external stakeholders (e.g., investors, lenders, auditors) 
  • CPA designation is preferred but not required 
  • 7-15 years of work experience preferred 
Apply for Job