1. Participate in the financial and management accounting functions for the Trust, Singapore properties and other entities and ensure smooth financial reporting for these assets/entities.
2. Responsible for review/preparation of period-end close (monthly, quarterly, annual), GST filing requirements, variance analyses, cash flow management, planning, and budgeting and forecasting.
3. Liaise with other business stakeholders including internal and external auditors, property managers, corporate finance, tax advisors.
4. Analyse financial results and identify improvement opportunities in internal controls, processes, policies and procedures.
5. Ensure compliance with accounting, tax, statutory and regulatory requirements.
6. Support system implementation/improvements as necessary.
7. Support in ad hoc projects and other initiatives as assigned.
8. Guide/supervise team members as necessary.
9. Ad-hoc duties as assigned.
nil