Assistant / Manager, Finance (Consolidation and Reporting) (12470)

Mapletree Investments Pte Ltd

Singapore

On-site

SGD 110,000 - 150,000

Full time

14 days+
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Job summary

Mapletree Investments Pte Ltd invites a capable finance professional to oversee the assigned portfolio within the Finance Department of MPACT. You will lead month-end closings, intercompany reconciliations, and monthly management reporting while coordinating with asset management on performance analysis.

Applicants should be Chartered Accountants with 5–6 years’ experience, strong IFRS knowledge, and exposure to SAP, BPC and Tagetik.

Qualifications

  • Chartered Accountant with degree in Accountancy from a recognised university.
  • At least 5–6 years of relevant and/or auditing experience, with at least 2 years in a managerial capacity.
  • Well-versed in Local GAAP and IFRS.
  • Experience in SAP, BPC and Tagetik would be highly advantageous.
  • Candidates with REIT reporting experience will have an added advantage.
  • Experience in real estate or financial services industry is a clear advantage.

Responsibilities

  • Ensure timely month end closing, intercompany reconciliation and preparation of monthly management reporting.
  • Support monthly/quarterly management reporting and collaborate with asset management on financial performance analysis.
  • Prepare full set of financial statements for group reporting and statutory audit, and manage the audit process with auditors.
  • Handle tax matters including tax computations and liaising with tax consultants and authorities as needed.
  • Drive implementation of group policies, processes and systems.
  • Support ad-hoc projects as required.

Skills

Verbal communication
Written communication
Leadership

Education

CA with Degree in Accountancy

Tools

SAP
BPC
Tagetik

Job description

The Role

This position will be responsible for assigned portfolio in the Finance Department for Mapletree Pan Asia Commercial Trust (MPACT).

Job Responsibilities
  • Ensure timely month end closing, intercompany reconciliation and preparation of monthly management reporting.
  • Support monthly/ quarterly management reporting and work with internal asset management team on analysing monthly/ quarterly/ year-to-date financial performance.
  • Ensure timely preparation of full set of financial statements for group reporting and statutory audit, and manage the audit process, including liaising with auditors.
  • Handle tax matters, including preparation of tax computations, working closely with tax consultants on tax computation/ filing submissions, and liaising with consultants and/or authorities on queries.
  • Key driver for implementation of group policies, processes and systems.
  • Support any other ad-hoc projects as required.
Job Requirements
  • Chartered Accountant (CA) with Degree in Accountancy from a recognised university, or its equivalent.
  • At least 5 to 6 years of relevant and / or auditing experience with at least 2 years in a managerial capacity.
  • Well-versed in Local GAAP and IFRS.
  • Experience in SAP and Business Planning and Consolidation (BPC) and Tagetik would be highly advantageous.
  • Candidates with prior experience in REIT reporting will have an added advantage.
  • Experience in real estate or financial services industry is a clear advantage.
  • Hands on finance operations experience, good accounting knowledge, responsible, assertive, and able to work independently in a fast-paced environment.
  • Frequent liaison with various parties such as inter-department teams, property accountants and auditors; hence good verbal and written communication skills are required.
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