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Senior Manager, Corporate Finance - Real Estate

REVUP CONSULTING PTE. LTD.

Singapore

On-site

SGD 120,000 - 160,000

Full time

Today
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Job summary

A global consulting firm based in Singapore is seeking a Senior Manager, Corporate Finance to lead treasury, corporate finance, and financial planning activities for real estate investments. The ideal candidate should have 10 to 12 years of relevant finance experience in similar sectors, with a strong background in auditing, treasury management, and financial analysis. A degree in Accounting and a CPA qualification are essential. This position offers the opportunity to work closely with various teams to optimize capital structures and ensure strong financial governance.

Qualifications

  • 10 to 12 years’ relevant finance experience within real estate or property investment companies.
  • Strong foundation in auditing from a Big Four firm.
  • Experience in treasury, corporate finance and FP&A for real estate assets.

Responsibilities

  • Partner Group Treasury on cash management, asset financing and refinancing activities.
  • Lead annual budget and monthly forecast preparation for investments.
  • Oversee financial statements for assigned assets ensuring compliance.

Skills

Financial modelling
Planning and forecasting
Loan management
Capital structuring
Clear financial insights

Education

Degree in Accounting
Chartered Accountant or CPA

Tools

Oracle Fusion
Job description
Senior Manager, Corporate Finance

Reporting to: Group Financial Controller

Our client is seeking an experienced finance professional to join their Finance team. This role leads treasury, corporate finance, FP&A and accounting activities for a portfolio of real estate investments. You will work closely with Group Treasury, Banking Partners, Investment and Asset Management teams to optimise capital structure, support business growth and ensure strong financial governance.

Key Responsibilities

Treasury Management

  • Partner Group Treasury on cash management, asset financing and refinancing activities.
  • Monitor loan covenants, limits and headroom, and recommend financing strategies.
  • Manage day-to-day banking operations for assigned assets.
  • Analyse and execute FX and interest rate hedging strategies.

Corporate Finance

  • Support Investment and Asset Management teams on financing structures for acquisitions and refinancing.
  • Develop efficient capital structures for acquisitions and divestments.
  • Propose funding mechanisms and recommend tax‑efficient structures aligned with regulatory changes.
  • Deliver key financial targets for assigned assets.

Financial Planning & Analysis (FP&A)

  • Lead annual budget and monthly forecast preparation for investments.
  • Review and analyse performance against budgets and forecasts, providing insights on variances and business drivers.
  • Assess P&L and cash flow impact for potential acquisitions or divestments.

Financial Reporting, Accounting & Compliance

  • Oversee financial statements for assigned assets and ensure compliance with accounting standards and regulatory requirements.
  • Advise local reporting teams on accounting for acquisitions, divestments, modified leases, derivatives and hedge accounting.
  • Ensure timely completion of audits and tax compliance.

Other Responsibilities

  • Support ad‑hoc finance projects and participate in initiatives requiring cross‑functional collaboration.
  • Occasional secondment or additional duties may be assigned based on business needs.
Requirements

Qualifications

  • Degree in Accounting.
  • Chartered Accountant or CPA (CA, ACCA or equivalent).

Experience

  • 10 to 12 years’ relevant finance experience within real estate or property investment companies.
  • Strong foundation in auditing from a Big Four firm.
  • Experience in treasury, corporate finance and FP&A for real estate assets.
  • Familiarity with Oracle Fusion is advantageous.

Skills & Competencies

  • Strong financial modelling, planning and forecasting capabilities.
  • Sound knowledge of financing, loan management, hedging and capital structuring.
  • Ability to provide clear financial insights and partner effectively with business stakeholders.
  • High level of integrity, attention to detail and a proactive mindset.
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