Senior Treasury Accountant - Real Estate
Job description
- Monitor daily cash balances and transfer funds to disbursement accounts.
- Manage interbank transactions via bank portals.
- Prepare weekly and bi-weekly cash flow reports and forecasts.
- Process fixed deposits and compile monthly cash flow reports.
- Allocate funds to projects per restrictions.
- Monitor forex transactions.
- Coordinate with AR and AP for timely payments.
- Generate project and entity cash flow reports as requested by MIS.
- Assist management with liquidity information.
Escrow Account Management:
- Manage liquidity and process developer equity.
- Review financial data and process profit withdrawals.
- Ensure compliance with RERA guidelines and process retention transfers.
- Coordinate with account trustees for payments and account activations.
- Update TAS with profit receipts.
Cash Management in Oracle:
- Manage bank accounts and ensure MT940 statements are uploaded.
- Update transaction codes and configure sweeps.
- Account for interbank transactions, interest, and charges.
- Perform month-end closing and share information with GL.
- Reconcile bank accounts.
Bank Facility Management:
- Calculate interest and principal repayments.
- Assist in covenant testing.
- Manage loan schedules and share information with GL.
- Handle month-end loan schedules and interest provisions.
Other Duties:
- Provide treasury information for audits.
Knowledge, skills & experience:
- Bachelor's in Accounting, Finance, or related field; CPA preferred.
- Proven experience as a senior accountant.
- Strong knowledge of accounting principles and regulations.
- Proficiency in Oracle or similar ERP systems.
- Advanced MS Excel skills.
- Excellent analytical, organizational, and communication skills.
- Detail-oriented and accurate.