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An established industry player in Real Estate is seeking a dedicated financial professional to manage a comprehensive range of accounting responsibilities. This role involves overseeing financial reporting, variance analysis, and tax compliance for a portfolio of SGX Listed properties. You will collaborate with various stakeholders, ensuring adherence to regulatory requirements while enhancing financial systems. If you thrive in a dynamic environment and possess a strong accounting background, this opportunity is perfect for you. Join a forward-thinking company that values commitment and offers a platform for professional growth.
Our client is an established company in Real Estate / REIT. Due to expansion, this is a newly created headcount.
On an overview, you will need to maintain and manage a full spectrum of financial accounting including analysis, tax, budgeting, work processes, banking and administrative matters for a portfolio of SGX Listed Real Estate properties.
On top of primary Financial Accounting & Reporting scope, you will need to cover assisting to set-up new legal entities & corporate loan (with banks).
Regional Travel is required for this role if the job requires.
Manage a full spectrum of financial accounting, variance analysis, work processes, banking and administrative matters
Review monthly management and statutory financial statements including financial variance analysis for submission to HQ for consolidation
Review payments generated
Review quarterly GST reports and returns
Review tax computations for submission
Review annual budgets and analysis
Review audit schedules prepared
Review and manage the status over accounts receivables collection and doubtful debts provision
Manage yearly audit and handle auditors
Liaise with operations, customers, suppliers, auditor, tax agents & bankers, whenever needed
Review to improve efficiency and streamlining of work processes
Provide coaching and guidance to staff to resolve issues encountered or when necessary
Ensure compliance with corporate and regulatory requirements.
Analyse and enhance the effectiveness of financial systems and control
Manage and provide guidance on treasury and cash management activities
Able to hands-on both transactions and reporting when necessary.
Request for supporting documents and approval if it is not sufficient.
To put forward instructions to entities with regards to work & systems processes and compliance.
Manage any ad-hoc finance or administrative duties
Any other jobs assigned
Requirements
Degree in Accounting, ACCA, CA, CIMA or equivalent
Min 3 years of accounting / auditing experience.
Experiences in setting up new legal entities & dealing with banks for Corporate Loans
Proficiency with MS Excel and MS Word
Strong in internal control review
Highly committed with ability to work under pressure
Additional auditing and /or supervisory experience is a plus.
*By submitting your application or resume to us, you will be deemed to have agreed and consented us that we may collect, use or disclose your personal information for purpose in connection with the services provided by us.
We regret to inform that only shortlisted candidates would be notified.
Kenny Ang (Consulting Director)
Recruit Fast Pte. Ltd. (EA License: 23C1828)
EA Personnel: R1105307
Email: kenny@recruitfast.sg
Website: www.recruitfast.sg