Finance Manager – Listed Platform & Reporting

TRI-CAP CONSULTING PTE. LTD.

Singapore

On-site

SGD 180,000 - 280,000

Full time

14 days+
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Job summary

TRI-CAP CONSULTING PTE. LTD. is partnering with a fast-growing regional infrastructure platform in Singapore preparing for a public listing.

This finance role goes beyond BAU accounting to build the finance and reporting framework for a newly listed platform, collaborating with senior leadership and external stakeholders. The role leads group consolidation and external reporting, including monthly balance sheet, P&L and cash-flow consolidation, eliminations, and REIT metrics.

Qualifications

  • Qualified accountant with 7–10 years of relevant experience, ideally within a S-REIT.
  • Hands-on in consolidation, external reporting and regulatory reporting.
  • Comfortable working across complex multi-entity structures and tight reporting deadlines.
  • Familiar with SFRS(I), SGX listing requirements and REIT governance.
  • Strong communicator able to engage with management, auditors and external advisers.
  • Naturally curious and ready to build processes rather than maintain them.
  • Experience reconciling multi-entity data and supervising staff.

Responsibilities

  • Lead group consolidation and external reporting.
  • Prepare monthly balance sheet, P&L and cash-flow consolidation with eliminations and key REIT metrics.
  • Coordinate audits, SGX results announcements, and annual report disclosures.
  • Support budgeting, forecasting, transactions, due diligence and control-readiness initiatives.
  • Engage with auditors, trustees, tax advisers and sponsor finance as required.

Skills

Qualified accountant
Consolidation
External reporting
Regulatory reporting
SFRS(I)
SGX listing requirements
REIT governance
Stakeholder communication
Problem solving
Ownership mindset

Education

Professional accounting qualification (CA/ACCA)

Job description

TRI-CAP CONSULTING PTE. LTD. is partnering with a fast-growing regional infrastructure platform in Singapore preparing for a public listing.

This finance role goes beyond BAU accounting to build the finance and reporting framework for a newly listed platform, collaborating with senior leadership and external stakeholders. The role leads group consolidation and external reporting, including monthly balance sheet, P&L and cash-flow consolidation, eliminations, and REIT metrics.

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