Description
The Role
You will lead a small team of finance staff working with the US data center portfolio. You will be responsible for ensuring timely month-end closing, inter-company reconciliation, preparation of monthly management reporting, monthly bank reconciliation and audit schedules as well as supporting quarterly investors’ reporting with the syndication of a data center REIT. This will include reviewing accounts prepared by the property managers/operators/outsourced agents before completing the entity level closing. You will ensure timely preparation of full set of financial statements for the audit of the portfolio of entities, overseeing the audit process, and ensure timely submission to the relevant statutory bodies. You will handle all tax matters (such as corporate tax and other applicable taxes) including preparation of tax computation or working closely with a tax consultant/tax team on tax computation and filings and attending to any queries they might have. You will be responsible for budgeting and forecasting for the portfolio of entities, as well as focus on internal control and compliance (including following procurement and delegation of authority procedures). You will also be a key driver for the implementation of group policies, processes and systems. You will report to the Financial Controller in the US.
The Person
You should possess a Degree in an Accounting and be certified as a CPA. You should also have a minimum of 5 years of managerial experience. To succeed in this role, you should have a good knowledge of US GAAP and IFRS and be well-versed in US tax regulations. You should have strong verbal and written communication skills and have hands-on experience. Experience in the real estate industry is advantageous, particularly experience working with a REIT.
Experience
5+ to 7 years
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