Our Client
Our client is a well-established real estate investment manager in APAC region and it is also the manager for one of the SGX-listed REIT. In view of the business structure review, they are looking for a contract Accountant to assist in maintaining the books of the manager.
The Role
This role reports to Finance Manager with the following responsibilities:
- Primarily responsible for Accounts Payable, Accounts Receivables, Fixed Assets and General Ledger functions as part of month end closing
- Checking and preparation of payments
- Maintain cashbooks on daily basis and ensure funds are available for monthly payments
- Preparation of the entities’ accounts and schedules for monthly closing and submission to the Group
- Preparation of the entity’s quarterly GST filing
- Checking and processing of property operating expenses submitted by property manager(s)
- Assist in reviewing the monthly property level accounts and uploading property level trial balances into accounting system
- Verification of property tax computations submitted by property manager(s)
- Performing monthly bank reconciliations
- Preparation of annual financial statements and income tax computations as part of year end closing
- Preparation of XBRL
- Adhoc duties as may be assigned
Your Profile
- Degree in Accountancy or ACCA or equivalent.
- At least 2-3 years of relevant experience and able to handle full set of accounts.
- Posses good interpersonal and communication skills (written and verbal).
- A self-starter with a positive mindset who is able to plan, organise and take initiative to meet job objectives and deadlines independently.
- Meticulous, analytical and independent worker.
- Prior experience in SAP preferred but not pre-requisite.
Note: There is no hybrid work arrangement for this role.