Overview
We are seeking an experienced finance professional to lead financial planning, compliance, and treasury functions across multiple assets and entities. This role will play a key part in ensuring effective capital structuring, risk management, and financial performance within a dynamic real estate investment environment.
Key Responsibilities
- Oversee cash management, asset financing/refinancing, FX and interest rate hedging strategies.
- Manage banking operations, monitor loan compliance and available headroom, and propose appropriate funding strategies.
- Partner with investment and asset management teams on capital structuring, financing for new acquisitions, and refinancing of existing assets.
- Review and propose tax and funding strategies in line with regulatory and business changes.
- Lead budgeting and forecasting processes; analyse asset performance and provide insights to support decision-making.
- Oversee the preparation and review of financial statements, ensuring compliance with accounting standards.
- Guide local reporting teams on complex accounting treatments for acquisitions, divestments, and financial instruments.
- Ensure timely audit and tax compliance for assigned entities.
Requirements
- Degree in Accounting; professional qualification (CA, CPA, ACCA, or equivalent) required.
- Minimum 1012 years relevant experience, ideally in a real estate environment.
- Strong expertise in financial planning, treasury management, and capital structuring.
- Excellent analytical, negotiation, and stakeholder management skills.
- Experience with Oracle Fusion is an advantage.