Manage full set of accounts including preparation of management accounts, as well as forecasting/budgeting of the Trust and assigned entities.
Responsible for monthly group consolidation and review submission from the portfolio assets including subsidiaries and joint ventures.
Ensure timely closing of accounts and submissions from the portfolio assets in accordance with timeline.
Ensure compliance with accounting, tax, statutory and regulatory requirements.
Participate in preparation of Board and ARC materials, SGX announcements, business update, financial statements and annual report.
Monitor and manage cash flow and working capital requirement, ensuring optimal liquidity and efficient utilisation of funds.
Support the internal and external audit processes.
Work closely with business stakeholders including outsourced service providers for financial operations, reporting and compliance matters.
Assist in international tax and other regulatory reporting requirements such as Pillar 2, FATCA, Country-by-Country Reporting, Common Reporting Standard (CRS) and USSFTA.
Identify and drive improvement opportunities in internal controls, processes, policies and procedures and maintain policies.
Other special projects including but not limited to system project assignments or UAT etc.
Job Requirement:
Degree in Accountancy / ACCA or equivalent professional qualification.
Minimum 4 years of relevant experience in finance and accounting.
Candidates with strong understanding of financial reporting standards (IFRS/SFRS), tax regulations, consolidation experience, work exposure in listed company financial operations are preferred.
Proactive, meticulous and able to work independently as well as part of the team in a fast-paced environment.
Possess strong interpersonal as well as communication skills, analytical and problem-solving abilities.
Proficiency in using Microsoft 365, in particular Excel (working with formulas and pivot tables).
Knowledge of SAP Hana/SAP Rise/Yardi is an added advantage