Job Description: Prepare financial projections and build models from scratch, improve existing models, and capture complex business reality/dynamics Provide insightful financial analysis on a regular and ad-hoc basis, but not limited to operating metrics performance, business unit performance review, and other financial ratios analysis Involved in monthly closing financial statements to ensure all revenue and expenses are recorded properly by liaising with accounting department work closely with other cross-division and act as business partner Develop and execute fundraising strategies, including identifying potential investors and lenders, preparing investment materials, and negotiating terms. Maintain relationships with existing investors and lenders, providing regular updates on company performance and future prospects. Cultivate and maintain strong relationships with investors, lenders, and other stakeholders. Serve as the primary point of contact for investor and lender inquiries, providing timely and transparent communication. Develop and maintain comprehensive financial models to support strategic decision-making and scenario analysis. Support the evaluation of potential mergers, acquisitions, and other strategic transactions through financial modeling and analysis. Identify opportunities for operational and financial improvement, working cross-functionally to implement initiatives. Develop and implement strategies to optimize cash flow and working capital management. Monitor cash flow forecasts and liquidity requirements, identifying potential risks and opportunities. Requirements: Min. 5 Yr of experience at the same position in corporate finance, FP&A, investment banking, or related fields, Investor Relation Excellent written and verbal communication skills in English. Strong analytical skill and passionate in data analysis Good interpersonal skills Able to convey complex information in clear and concise manner Experienced in startup company will be added point