Financial Strategy & Planning – Support the development and execution of financial strategies, budgets, forecasts, and models for property development projects.
Financial Performance & Analysis – Monitor financial performance, analyze variances, and provide insights to enhance profitability.
Reporting & Decision Support – Prepare financial reports and analyses to guide senior management and stakeholders in project-related decisions.
Cash Flow & Resource Management – Oversee cash flow, working capital, and optimize financial resources for efficiency.
Compliance & Regulation – Ensure adherence to financial regulations, tax laws, and industry best practices.
Team Leadership & Development – Recruit, train, and mentor staff, set departmental KPIs, and foster a collaborative, high-performance work environment.
Job Requirements
Bachelor's degree in Finance, Accounting, Business Administration, or related field; professional qualifications like MBA, MIA, or CPA preferred.
At least 8 years of working experience in Accounting role, preferably in property, real estate sector or construction industry.
Experience in full-set accounting, financial reporting, management accounting, cash flow, taxation, and internal controls.
Strong analytical, problem-solving, and attention-to-detail skills. Proficiency in financial software and Microsoft Office (Excel, Word, PowerPoint).
Effective communication and ability to handle confidential information professionally.