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Fund Finance Manager

TANGSPAC CONSULTING PTE LTD

Singapore

On-site

SGD 90,000 - 120,000

Full time

Today
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Job summary

A global investment management firm in Singapore is seeking a highly capable Fund Finance Manager. The successful candidate will support fund operations, ensuring financial accuracy and compliance. Candidates should have over 8 years of experience in finance and a degree in Accountancy. Real estate investment management experience is advantageous. This role includes reviewing financial accounts, managing cash flow, and coordinating audits.

Qualifications

  • 8+ years of relevant experience in finance.
  • Prior experience in real estate investment management is highly advantageous.

Responsibilities

  • Review monthly property and trust‑level management accounts.
  • Prepare quarterly investor reporting packages.
  • Manage fund‑level cash flow and bank compliance.
  • Coordinate audits and filings with relevant teams.
  • Lead fund setup activities including incorporation and tax applications.
  • Administer capital calls and distributions.
  • Deliver accurate financial data for strategic decisions.

Skills

Attention to detail
Problem-solving
Organizational skills
Initiative

Education

Degree in Accountancy or equivalent
Job description
About the Company

Our client is a leading global investment management firm with a diversified portfolio across multiple asset classes and markets. With a strong international footprint spanning over 30 countries, the firm manages assets on behalf of a broad range of institutional investors. It serves as the Asia Pacific investment arm of a prominent real estate and development group with a well-established presence across key regions including the US, Europe, and Asia Pacific

They are seeking a highly capable and detail-oriented Fund Finance Manager to join the Singapore office. This role is central to the operational finance function, supporting a portfolio of fund and investment vehicles. The successful candidate will report directly to the Finance Director and play a key role in ensuring financial accuracy, compliance, and investor confidence

Key Responsibilities
  • Review monthly property and trust‑level management accounts for fund entities
  • Prepare and validate quarterly investor reporting packages and questionnaires
  • Manage fund‑level cash flow, bank accounts, loan compliance, and interest payments
  • Coordinate with auditors, tax agents, and corporate secretarial teams for audits and filings
  • Lead fund setup activities including entity incorporation, bank account opening, onboarding, and tax incentive applications
  • Administer capital calls and distributions with precision and timeliness
  • Ensure delivery of accurate and timely financial data to support strategic decisions
Requirements
  • Degree in Accountancy or equivalent, with 8+ years of relevant experience
  • Strong initiative and ability to work independently to meet deadlines
  • Detail‑oriented with excellent problem‑solving and organizational skills
  • Prior experience in real estate investment management is highly advantageous
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