JOB DESCRIPTION
We are seeking a highly motivated and dynamic individual to join Keppel Infrastructure Fund Management (KIFM) Finance team. This role is instrumental in supporting the financial operations, consolidation and reporting functions.
- 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 REQUIREMENTS
- 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
BUSINESS SEGMENT
Infrastructure
PLATFORM
Fund Management