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Job Responsibilities:
Responsible to and accountable for all financial, statutory and management reporting in compliance with Listing requirements and MFRSs.
Responsible for tax planning and proposing the quarterly income distribution to unitholders.
Lead the corporate finance including all the acquisitions and disposal of REIT's portfolio feasibility studies.
Responsible for treasury and cash flow management.
Develop robust financial models to ensure simulations on financial impact of different courses of action can be performed for decision making.
Update quarterly presentation slides for analyst or fund manager briefing to ensure transparent reporting and disclosure.
Review and monitor the yearly annual budget, including the monthly forecast of Profit & Loss and the actual financial report for the Group.
Liaise with external professional parties, including bankers, internal and external auditors, tax agents, regulatory bodies, and others, on various financial decisions.
Analyse corporate proposals received, conducting thorough due diligence reviews to critically assess their value.
Coordinate, monitor and ensure full compliance of banks’ financing.
Work closely with business leaders to provide financial counsel, support for decision making, and in-depth financial and operational analysis including investment strategies and funding, corporate exercises, cash flow management, and distribution of earnings.
Participate in corporate exercises such as acquisitions and disposals, including due diligence, feasibility studies, and impact assessment.
Participate in stakeholder engagement exercises.
Responsible for any ad-hoc report/project as assigned.
We Want Someone Who:
Is responsible for applying the appropriate capital management strategy, including assessing the taxable and non-taxable portion of income distribution to unitholders.
Plans the placement for excess funds to maximize the return, payment cycle based on credit terms to optimize cash flow planning.
Is responsible for the preparation of all relevant financial reporting (including interim reporting) required under relevant regulatory requirements, including but not limited to the Relevant Laws and Requirements, as well as management reporting for monthly performance with budget variances highlighted.
Identifies, researches and evaluates potential acquisitions and related investments to enhance and optimize the value of KIP REIT’s portfolio.
Ensures that investments are in line with KIP REIT’s investment policy, objectives, and strategies.
Oversees the completion of acquisitions and financing arrangements; sources for optimal funding to apply appropriate capital management strategy in compliance with SC gearing ratio.
Oversees the acquisition/divestment process of any such investments by the REIT, including being responsible for the due diligence process of such investments/divestments.