- 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