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- Manage AP process and effect payments/disbursements
- Prepare bank reconciliations and relevant cash reporting e.g. cashflow
- Prepare other administrational support to the Hong Kong team such as FX upload, maintaining sorts of internal register (e.g. banking register) and internal compliance
- reports, etc as necessary
- Support the team on booking accounting journals for holding companies/ holding trusts (SPVs) and property trusts (Prop cos), including preparation of all accounting entries and preparation of monthly financial reports
- Draft annual audited financial statements, as needed
- Upload financial data to Yardi and perform checking of the uploaded data
- Communicate to data aggregation team
- Response to Hong Kong/Australia teams queries and other ad hoc requests received from clients
- Undergraduate degree in Accounting, Finance
- Fresh graduates are welcomed
- Able to prioritize assignments and meet deadlines
- Mature and independent
- Analytical mind and looks into details
- Fluency in English
- Japanese proficiency is required, JLPT would be advantageous.
- Mandarin/ Cantonese proficiency would be advantageous
Financial Analyst - Kuala Lumpur, Malaysia - CBRE
Description
About the role:Hands-on finance position responsible for Real Estate accounting, including financial reporting, cash management activities for client mandates. Perform transactional services and administration support to Hong Kong and Australia team
What you'll do:Cash Management/Treasury
What you'll need