Our client is a reputable company dealing with REIT.
Work Location: PLQ Head Office (Csuites)
Arrangement: Hybrid
Target Date: ASAP to 6 months
{This is replacement hire and predecessor has already left. Contract renewable and not a maternity cover.
(Individual Contributor)}
- Prepare all aspects of monthly and quarterly account closing, including preparation of journal entries, consolidation of various entities, preparation of bank and balance sheet reconciliations.
- Manage all activities in account payable/ receivable function.
- Support Business head to manage monthly, quarterly, annual financial performance, budgeting, forecasting, and reporting.
- Prepare finance updates for investor, including preparation of key flux analysis and computation of entities performance returns.
- Monitor fund cashflows including recommendation for capital calls and fund distributions, and forecasting of cashflow and budget financial results
- Financial Modelling – develop and run detailed financial model. Identify key investment drivers, conceptualise scenario analysis with sensitivities and assess impact to the development using IRR, NPV, MOC and other key performance indicators.
- Commercial Contract Review – Formulate or review commercial terms for contracts to ensure advantageous impact to asset cash flow streams and financials
- Presentation/Report Writing – assist in the preparation of internal and external presentations, reports and Board papers.
- Stakeholder Management – Collaborate with key stakeholders to ensure relevant and accurate information is collated. Proactively supporting the needs of the team and wider business where requested.
- Support new business opportunities and providing financial analysis to support commercial decision making
- Assist with portfolio pipeline planning and management of pipeline status updates.
Basic Requirements:
- Minimum degree qualified (accounting, finance, mathematics, economics, real estate preferred)
- Professional qualification - Chartered Accountant, ACCA or CPA qualification
- Advanced excel financial modelling
- At least 5 years work experience, preferably in commercial role with financial planning and analysis experience
Other Requirements:
- Demonstrates a strong understanding of financial management principles and applies this knowledge to effectively manage the commercial and operational activities of the business. Applies strong intellect and logic to quickly diagnose the core issues and identifies a range of potential solutions and scenarios
- Uses experience, insights and knowledge from Corporate and BU environments, and works with stakeholders to leverage financial and operational best practise. Ensures efficiency in operations and translates financial obligations into the delivery of business objectives
- Analyses financial, business and market knowledge to drive insights into improving business outcomes. Uses experience to anticipate problems, identifies root causes and generates practical options and solutions. Helps business leaders understand how they can leverage financial outcomes to improve business results. Educates the business, and adds value by sharing insights, information and expertise.
Jessie Hoe Huey Miin
CEI R1103861
EA: 99C4599