Responsible for financial and management accounting functions of the Trust, including GST filing, variance analyses, cash flow management, planning, and budgeting and forecasting
Responsible for monthly consolidated accounts and ensure smooth/timely reporting of the group
Preparation of half yearly condensed interim financial statements to SGX, quarterly materials and related announcements for results release
Preparation of full year group financial statements and annual report
Liaise with internal stakeholders and service providers (internal and external auditors, tax agent, company secretary, legal advisor, share registrar and etc)
Identify improvement opportunities in internal controls, processes, policies and procedures
Ensure compliance with accounting, tax, statutory and regulatory requirements and internal policies
Support system implementation/improvements as necessary
Participate in ad-hoc projects and other initiatives
Guide/supervise team members as necessary
Other ad-hoc duties as assigned
JOB REQUIREMENTS
Degree in Accountancy
Minimum 3 to 4 years of relevant work and accounting experience
Group consolidation and reporting experience preferred
Analytical, resourceful & possesses good problem-solving capability
Self-motivated, meticulous, hands-on, able to work independently and proactive team player
Ability to multi-task and work in fast paced dynamic environment
Good communication and organization skills
Yardi and SAP S4 Hana knowledge advantageous
CPA or CA qualification advantageous
BUSINESS SEGMENTInfrastructurePLATFORMFund Management