Key Responsibilities:
- Bank relationship management:
- Actively supporting and participating in bank relationship management activities from a bank loan funding and credit perspective
- Actively supporting and participating in discussions with Debt Capital Market teams of banking partners understanding new developments and key themes on the debt capital markets
- Identification of new funding opportunities and funding partners
- Together with Director Corporate Finance, Director Treasury Operations and Group Treasury Director analysing and strategizing wallet share and strategy toward funding / banking partners
- Credit rating agencies management
- Participate in the process for obtaining a new credit rating
- Maintain active dialogues with credit rating agencies on a quarterly and pro-actively on an ad hoc basis upon occurrence of material (credit) developments and transactions
- Prepare annual review meetings
- Review and comment on draft releases by credit rating agencies
- Actively explain the capital structure strategy and spot inconsistencies in credit ratings to secure an appropriate rating for VEON
- Credit investor management:
- Support Investor Relations team in their communications to investors from a credit perspective by reviewing the debt and liquidity related slides and sections in quarterly reports and other investor presentations
- Actively participate in credit investor meetings, credit conferences as well as in non-deal and deal related credit road shows
- Support investor relations team and Director Corporate Finance in answering credit and capital structure related questions from investors
- Debt capital markets transactions:
- Actively participate in discussions with banking partners on debt capital market opportunities and developments
- Co-develop together with the Group Treasury Director capital markets strategy and advise to Group CFO and VEON Board
- Negotiate transaction documents and bond indentures
- Prepare investor presentation and engage in investor meetings
- Coordinate with internal teams, legal, external reporting and investor relations on various aspects of the transaction
- Bank loan negotiations
- Drive negotiations with banks for new banks loans both at HQ and Operating subsidiary levels
- Review and negotiate the actual loan agreement at HQ
- Review and coordinate loan agreement at operating subsidiaries, ensuring operating subsidiary loans are in conformity with VEON HQ loan documentation standards
- Liaise with other functions to obtain relevant input (tax, external reporting)
- Support operating companies in understanding and analyzing local loan agreements
- Reporting
- Oversight and approval of all Corporate Finance related treasury reporting
- One of the Global Corporate Finance subject matter experts
- Perform ad-hoc analysis of financial and non-financial data on request
- Develop and provide updates on projects
- Manage standardization and continuous processes and reporting improvements
- Projects
- Contribute to optimization of internal capital structures within the Group together with the Treasury Operations team in light of external funding strategies
- Provide technical and other support mergers and acquisitions and other projects of Corporate Finance on equity and debt transactions. This support could involve financial analysis, due diligence, and coordination with various stakeholders during these projects.
- Recommend, implement and maintain process improvements. This includes identifying areas for enhancement, proposing changes, and ensuring the implementation and sustainability of these improvements.
Critical Skills & Experience
- Master degree in Economics and/or Finance
- Understanding of / background in accounting that can support in forecasting balance sheets, cash flow statement and income statement impacts and interaction between those statements
- 5-10 years of relevant working experience in the field of finance / treasury, preferably within an international business environment
- Strong desire to apply your quantitative and analytical skills in developing a solid understanding of financial market data and analytics
- Advanced user of MS Excel, Power point is required
- Ability to translate experience and analytic skills to solve business challenges
- Autonomous with proactive attitude and strong team spirit
- Excellent written and verbal communication skills in English
- Effective communication and coordination with various stakeholders, including internal teams and external financial partners
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What We Do
VEON is a global digital operator headquartered in Dubai, providing connectivity and digital services across dynamic frontier markets that are home to more than 7% of the world’s population. With our digital operators, we transform lives through technology-driven services that empower millions and drive economic growth. Social media guidelines: We want everybody to have a positive and welcoming experience across the social media channels we use - and so we ask that everyone keeps their comments and discussions on VEON's page, or posts tagging the company, respectful to other members and our teams. Content which is abusive or harassing, obscene, deceptive or misleading, contains false or defamatory information, is discriminatory against any individual or group, or is considered spam may be removed - including reporting and blocking users responsible from our social media channels.









