Manager, Finance (Real Estate)

Tri-Cap Consulting Pte. Ltd.

Singapore

On-site

SGD 120,000 - 160,000

Full time

14 days+
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Job summary

Consortium for Clinical Research and Innovation Singapore is seeking a high-calibre Manager of Finance in Singapore. The role encompasses taking ownership of the finance function across a multi-entity investment portfolio. Key responsibilities include financial reporting, treasury and capital management, and strategic advisory. Ideal candidates should possess a degree in Accounting or Finance, with 8-12 years of relevant experience, strong technical skills in financial reporting, and excellent communication abilities. Join us to drive financial performance and governance across our portfolio.

Qualifications

  • 8-12 years of relevant experience in real estate, private equity, or fund management.
  • Strong technical grounding in financial reporting, consolidation, and treasury.
  • Experience supporting investment transactions and deal execution.

Responsibilities

  • Lead preparation of Board, Investment Committee, and investor reporting materials.
  • Oversee monthly consolidation and financial reporting across the portfolio.
  • Manage portfolio liquidity, cash flow, and funding requirements.
  • Strengthen internal controls and financial governance frameworks.

Skills

Financial reporting
Stakeholder management
Analytical mindset
Cash flow management
Communication skills

Education

Degree in Accounting, Finance, or related discipline; CA/CPA preferred

Job description

A leading private equity real estate investment firm is seeking a high-calibre Manager of Finance to take ownership of the finance function across its investment portfolio (within APAC). This is a strategic and hands‑on role, working at the intersection of finance, capital markets, and investment execution within a multi‑entity, multi‑jurisdiction platform. You will partner closely with senior management, investment professionals, lenders, and external advisors to drive financial performance, governance, and capital efficiency across the portfolio.

Key Responsibilities
Portfolio Reporting & Financial Management
  • Lead preparation of Board, Investment Committee, and investor reporting materials
  • Oversee monthly consolidation and financial reporting across the portfolio
  • Deliver P&L, balance sheet, and variance analysis with clear commercial insights
  • Own the annual budgeting and forecasting cycle
  • Ensure timely month‑end close, reconciliations, and reporting accuracy
  • Manage financial operations across SPVs
  • Coordinate with auditors, trustees, and tax advisors
Investment & Strategic Advisory
  • Partner with the investment team on acquisitions and divestments
  • Lead financial due diligence and return analysis
  • Review and challenge financial models and assumptions
  • Advise on structuring, accounting treatment, and financial implications
  • Assess impact on profitability, funding, and cash flow
Treasury & Capital Management
  • Manage portfolio liquidity, cash flow, and funding requirements
  • Execute loan drawdowns, repayments, and refinancing activities
  • Maintain debt, hedge, and mark‑to‑market schedules
  • Engage with banks on financing facilities and hedging strategies
  • Monitor and ensure compliance with loan covenants
  • Coordinate legal documentation and transaction settlements
  • Prepare capital management materials for senior stakeholders
Structuring & Corporate Actions
  • Develop and implement tax‑efficient investment structures with advisors
  • Support restructuring initiatives across the portfolio
  • Oversee incorporation and liquidation of entities
Governance & Process Excellence
  • Strengthen internal controls and financial governance frameworks
  • Drive continuous improvements in reporting and processes
  • Ensure compliance with regulatory and tax requirements
Strategic Projects
  • Lead or support ad‑hoc initiatives aligned with portfolio and platform growth
Qualifications
  • Degree in Accounting, Finance, or related discipline; CA/CPA preferred
  • Min 8‑12 years of relevant experience, ideally within real‑estate, private equity, or fund management
  • Strong technical grounding in financial reporting, consolidation, and treasury
  • Experience supporting investment transactions and deal execution
  • Familiarity with SPV structures and multi‑entity environments
  • Strong stakeholder management and communication skills
  • Analytical mindset with sound commercial judgment
Confidentiality

All applications will be treated in the strictest confidence. Personal data provided will be used for recruitment purposes only.

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