Key Responsibilities
Financial Accounting & Reporting
- Take ownership of the preparation of monthly, quarterly, half-yearly, and annual consolidated financial statements in accordance with relevant accounting standards.
- Review and consolidate annual budgets and forecasts across the group.
- Work closely with the Property Manager’s finance team to review monthly reports from asset-level entities, ensuring accuracy and readiness for consolidation.
- Perform performance analysis and compute key return and performance indicators.
- Develop financial models and prepare both regular and ad-hoc analytical reports.
- Manage the statutory audit processes for the REIT Manager, REIT, SPVs, and group-level audits.
- Oversee and review journal entries and financial adjustments for group entities.
Cash Management / Treasury
- Administer the setup, maintenance, and closure of corporate bank accounts.
- Monitor cash flow positions across entities and coordinate funding needs.
- Supervise accounts payable activities and ensure timely settlement of payments.
- Oversee the distribution payout process.
Corporate Governance & Compliance
- Support communication with company secretary, compliance officer, trustee, and legal counsel on matters such as financial reporting, regulatory filings, distributions, refinancing, and other capital market transactions.
Tax & Structuring
- Assist with group tax planning, structuring, and compliance matters.
Key Requirements
- Degree in Accounting, Finance, or equivalent professional qualification (e.g., ACCA, CPA, CA).
- Minimum 5 years of recent experience in financial consolidation.
- Self-driven, resourceful, and able to work independently.
- Strong interpersonal and communication skills, preferably good in Mandarin.
- Prior experience in the real estate or REIT sector will be an advantage.
- Comfortable working in a lean team and managing multiple deliverables under tight timelines.
Company Reg No.: 201131609D | License No.: 24S2411 | Reg No: R21102223 | Goh Choon Mui

