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An exciting opportunity has opened with a fast-growing regional infrastructure platform that is preparing for the next phase of its growth through a new public listing.
This is not simply a BAU finance role. You will have the opportunity to be involved in building the finance and reporting framework of a newly listed platform, working closely with senior leadership and key external stakeholders as the organisation establishes its reporting, governance and control environment.
The role will take the lead on group consolidation and external reporting, including monthly balance sheet, P&L and cash-flow consolidation, eliminations, variance analysis and key REIT metrics such as NPI, NAV, FFO, DPU/DPS, gearing and interest coverage.
You will also be responsible for management and Board reporting, interim and full-year SFRS(I) financial statements, SGX results announcements, annual-report disclosures and audit coordination, while supporting budgeting, forecasting, transactions, due diligence and control-readiness initiatives.
What we are looking for
We are looking for someone who is technically strong, but equally important, someone with the right mindset and character to thrive in a fast-moving environment.
The ideal candidate will be:
The original role specifically requires the ability to reconcile complex multi-entity data, prepare clear papers and disclosures, supervise staff and work confidently with auditors, trustees, advisers and sponsor finance.
Why this role is exciting
The real attraction is the build opportunity.
You will have the opportunity to contribute to the creation of a new listed platform, establish reporting standards and processes, and experience first-hand what it takes to take a business through the early stages of life as a listed entity.
For someone who is ambitious, resilient, intellectually curious and keen to broaden their exposure beyond conventional financial reporting, this could be a particularly strong career opportunity.
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 to inform that only shortlisted candidates will be notified. For other positions related to real estate or other alternative investments, please go to https://careers.tri-cap.com.sg/.
EA Licence: 24S2282
EA Personnel: R1107990
Job ID: 153440245
Skills:
financial regulatory reporting, Cash Flow Management, revenue recognition, local GAAP, Bank Reconciliations, Accounting Operations, Invoicing, AI analytics tools, finance automation initiatives, IFRS
Skills:
REIT regulatory frameworks, SGX listing rules, MAS guidelines, Financial Modelling, advanced Excel proficiency, Consolidation, budgeting, Tax Compliance
Skills:
risk metrics , Reconciliation, Nav Calculation, Fund Accounting, Investment reporting, Regulatory Reporting, Data quality governance, Performance Reporting
Skills:
System Migration, Economics, Forecasting, Consolidation, Management Reporting, Accounting, Audit, Finance, Budgeting
Skills:
SAP, Microsoft Excel, Statutory Reporting, Finance Operations, Singapore tax, Financial reporting, ERP systems, IFRS, Group consolidation