Corporate Banking/Finance

The documentation for the following banking/credit facilities or related transactions:
  • Syndicated Term Loan Facilities
  • Syndicated Project Financing Facilities
  • Loan/Debt restructuring
  • Guarantee Facilities
  • Non-Syndicated Term Loan Facilities
  • Master End-Financing Facility
  • Syndicated Foreign Currency Bridging Loan Facilities
  • Intercreditors arrangement in respect of Syndicated Foreign Currency Bridging Loan Facilities
  • Syndicated Revolving Credit Facilities
Including the following banking/credit facilities:
  • Term Loan Facilities of RM400.0 Million
  • Term Loan and Bridging Loan Facilities of RM157 Million
  • Term Loan Facilities of RM115.0 Million
  • Term Loan Facilities of RM73.0 Million
  • Overdraft, Bank Guarantee and Foreign Exchange Contract of RM81.0 Million
  • Term Loan, Overdraft, Revolving Credit and Letter of Credit of RM33.0 Million
  • Bridging Loan Facilities of RM30 Million
  • Bridging Loan Facilities of RM20 Million
  • Revolving Credit of RM20 Million
  • Trade Facilities of RM18.5 Million