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Our client is a listed REIT which is a market leader that operates from various locations around the globe. They are the largest key player in this industry and registers a large market capitalization for their total fund sizes.
Supervise, train & provide guidance to an outsource accountant.
Review outsource accountant's work to ensure accuracy & completeness.
Review/prepare & analyze all relevant accounting records, reconciliations, & schedules for accuracy &
completeness for month-end, quarter-end & year-end closing.
Responsible for treasury functions such as monitoring of cash balances at each legal entity & processing of
payments & receipts.
Assist with loan administration matters such preparation of drawdown, repayment & rollover notices, compliance
certificates & monitoring for all relevant covenants.
Manage & prioritize tasks, problem solve issues & work efficiently with other departments & professional service
providers to meet all required reporting & statutory compliance requirements & deadlines.
Assist with quarterly consolidations, analysis & preparation of reports to investors.
Prepare quarterly GST reporting, annual statutory income tax computations & work with in-house tax team
together with external tax agent to ensure timely & accurate submission.
Prepare deferred tax computations, tax roll-forward schedules & IC transaction schedules for quarterly reporting to
US HQ as well as any necessary information to support US tax filings.