Manage the Group’s Private Funds, prepare financial reports, and supervise junior accounting staff. Require 6-8 years of accounting experience, professional accounting qualifications, and experience in private equity real estate funds.
Requirements
- 6-8 years Accounting experience
- Professional Accounting qualifications such as Chartered Accountant (CA) or Certified Public Accountant (CPA)
- Strong technical background, including consolidated reporting and statutory reporting experience
- Experience in private equity real estate funds (Waterfall calculation, Net Assets Values calculations, yields, distributions, and other fund accounting)
- Highly organized and structured
- Strong level of accuracy and attention to detail
- Able to take responsibility and be accountable
- Able to work autonomously and as part of a broader team
- Able to solve complex problems
- Excellent written and verbal communication skills
- Strong time management and prioritization skills
- Intermediate to advanced computer software skills, including Excel and other accounting packages
Benefits
- Flexible benefits with comprehensive medical coverage for self and family
- Training and development opportunities
- Subsidised rates at Ascott serviced residences
- Wellness programmes
- Strong advocate of staff volunteerism