- Learn and grow in a leading real estate group
- 6 months extendable contract
About Our Client
A global real estate leader specializing in investment, development, and management of diverse assets, including retail, office, residential, lodging, and emerging sectors like logistics and data centres. Operating across major cities worldwide, it focuses on sustainable practices and innovative solutions to create long-term value.
Job Description
- Full sets of accounts for treasury related transactions.
- Manage daily cash flow and liquidity requirements to ensure operational efficiency.
- Process journal and accrual entries for Singapore dollar and foreign currency transactions, including maintaining recurring journals.
- Prepare and analyse treasury reports to support decision-making processes.
- Ensure compliance with internal policies and regulatory requirements.
- Assist in the preparation of budgets and forecasts for the treasury function.
- Update and maintain records of external loans, debts, fixed deposits, and inter-company transactions.
- Perform bank and fixed deposit reconciliations and other related transactions and prepare accounting schedules and ensure timely closing of accounts.
The Successful Applicant
- Relevant qualifications in finance, accounting, or a related field.
- Experience in accounting or treasury functions.
- Knowledge of SAP and Excel would be advantageous.
- Strong analytical skills and ability to work independently.
What's on Offer
An exciting opportunity to learn and grow in a global real estate firm!
Michael Page International Pte Limited, company number 199804751N (including Page Executive (53295516A) and Page Personnel Recruitment Pte Ltd (Registration Number: 201736642C))
operates
under the EA Licence Numbers of 18S9099 and 18C9065.