Develop financial models for real estate projects (e.g. residential, commercial, mixed-use), including cashflow, ROI, IRR...
Running scenarios and providing the figures, analyzing fluctuation and note for management, discussing and updating management about cashflow projection timely
Prepare management report/ad-hoc report for JV Partner/Fund
Coordinate with other departments to get assumptions/comparative information for management.
2. Budgeting & Cost Control
Prepare annual budget and Total development costs ("TDC").
Monitor actual vs. budgeted expenditures.
Work with project teams to control construction and development costs.
F3. Financial Reporting & Compliance
Coordinate with external auditors and tax advisors to ensure compliance with accounting standards (VAS and IFRS) and tax regulations.
Working with valuers, providing the project information, reviewing valuation models and assumptions
Calculate Fair Value / Review valuation report for IFRS report and fund requirement
To update the TDC, finalizing TDC for project hand over and recognize profit
4. Financing & Capital Management
Preparing cash flow and supporting documents for bank/other financial institutions
Together with Treasury team for negotiations of key terms and review of bank loans documents
Providing quarterly reports, yearly reports to ensure commitments for bank loan
Review of documents on home buyers financing
5. Investment & Asset Management Support divestment strategies and exit planning. * Conduct valuation analysis for portfolio assets. Perform wholesale analysis and calculate financial ratios
Prepare/recalculate divestment for multiple scenarios when assumptions change
Prepare the DD documents, assist the queries from DD consultants
Involve in DD process for acquisition as well.
JOB REQUIREMENTS #LI-HP1 BUSINESS SEGMENT Corporate PLATFORM Operating Division