The successful candidate is responsible to provide strategic decision support and perform financial tasks related to accounting, tax compliance, cash flow management, improvement in financial reporting related work processes for the real estate fund and manager.
This position is based in Singapore and reports to the Financial Controller
Prepare and review financial reports including sub-group consolidation on a monthly, quarterly and annual basis.
Maintain general ledgers, accounts receivable and accounts payable.
Prepare and review payments, intercompany and bank account reconciliations.
Manage the preparation of annual business plan in line with Group requirements.
Review tax returns and computations for Singapore and UK entities.
Review cash forecast and payment arrangements.
Ensure that all of the company’s financial practices are in line in statutory regulations and legislation including the annual financial audit and tax filing and adhere to internal control practices and provisions in agreements.
Liaise with other stakeholders such as trustee, financier, service providers, asset manager where required.
Mentoring of junior staff and providing guidance where necessary
Any other duties as and when assigned from time to time.
Bachelor’s Degree in Accounting / Finance
Minimum 3 to 5 years of experience in financial reporting or audit
Experience in Real Estate Investment Funds will be an added advantage
Good quantitative skills
A keen eye for detail and desire to probe further into data
Strong analytical skills, attention to detail and able to perform under pressure to meet tight deadlines.
Strong computer skills, including Microsoft Excel
Resourceful, independent, innovative with the potential to grow
Strong communication, written and presentation skills
Strong people management and collaborative individual
Working knowledge of JDE will be advantageous
Accounting / Finance