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An exciting opportunity has opened with a high-growth regional infrastructure platform preparing to establish a new listed REIT.
This is an opportunity to join at the build stage, where you will work closely with the REIT finance team to help establish the accounting, reporting and control foundations required for a new listed platform. Rather than stepping into a fully mature finance environment, you will gain first-hand exposure to how a REIT prepares for and operates within a listed environment.
Key Responsibilities
You will support the finance team across the Trust, REIT Manager and holding SPVs, with responsibility for preparing accurate entity accounts, reconciliations, financial schedules and disclosure support. You will also help ensure records are maintained to an audit-ready standard and that the team operates effectively within a listed REIT close and maker-checker framework.
Your responsibilities will include:
What We Are Looking For
We are looking for someone who is technically capable, but equally important, has the right attitude and character to grow with a newly forming listed platform.
Ideally, you will have:
Why This Role Is Exciting
The real opportunity is to be part of the formation of a new listed REIT.
For an Accountant at this stage of their career, this means exposure beyond routine accounting. You will see how entity accounting feeds into REIT reporting, distributions, valuations, annual reporting, listed-company controls and regulatory requirements.
You will also have the opportunity to help improve templates, reconciliations, processes and finance hand-offs as the platform develops.
For someone who is resilient, passionate, curious to learn and comfortable communicating across a fast-moving team, this is an opportunity to build a strong foundation in listed REIT finance while contributing to something genuinely new.
All applications will be treated in the strictest confidence. Personal data provided will be used for recruitment purposes only.
Please apply with your CV in word document format. We regret toinform that only shortlisted candidates will be notified. For other positions related to real estate or otheralternative investments, please go to https://careers.tri-cap.com.sg/.
EA Licence: 24S2282
EA Personnel: R1107990
Job ID: 153440227
Skills:
Yardi, Excel, Ms Office, Word, Investor servicing, Fund Management, Accounting, Payment procedures, Valuation accounting, eFront, Net Asset Value calculation
Skills:
Capital Call and Distribution notices, Investran system, CRS reporting, Accounting Standards, Financial Statements, Accruals, Capital Account Statements, Fund Accounting, NAV calculations, Quarterly reporting packages, Equalisation models, Waterfall models, IFRS
Skills:
statutory regulations, Financial Accounting, full sets accounting, enterprise-grade financial management platforms, international financial reporting standards, corporate taxation principles, data analysis software, Tax Compliance, Reporting
Skills:
Microsoft Excel, Financial Systems, Accounting Principles, Tax regulations, Financial reporting
Skills:
Microsoft Excel, Accounting Systems, Erp System, Maximo, Oracle NetSuite