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Company overview

Our client is a well-established and renowned real estate group and also with a winner of multiple awards domestically, regionally and globally.

Job description


* Execute corporate strategy set by senior management and monitor actual results against the key performance objectives.

* Prepare progress report to senior management on assets performance.

* Support the CEO Office for any shareholders engagement matters.

* Assist with corporate finance matters, including loan refinancing and loan covenants monitoring.

* Monitor property valuation.

* Act as a Finance Business Partner for the Retail operations, including budget preparation and performance measurement.

* Monitor performance of the Hotel business and the Hotel Operator's compliance with the hotel management agreement.

* Perform sensitivity analysis for different streams of business, including scenario modelling, revenue forecasting.

* Compute and analyse financial indicators, e.g., IRR, Cost of capital, Economic Profit.

* Prepare long-range cash flow and Profit & Loss projections.


Our client needs someone with the following skills:

1. Candidate must possess at least a Bachelor's Degree, or Professional Degree in Finance/Accountancy or Business Studies
2. At least 6 years of relevant experience, preferably in a MNC environment.
3. Must be familiar with various asset valuation methodology, e.g., discounted cash flow model, direct capitalization approach.
4. Preferably with experience in real estate business.
5. Candidate must be meticulous and possess an analytical mind.
6. Must be familiar with advance functions of MS Excel, e.g., pivot tables, VLOOKUP.
7. Must be able to work independently and takes initiative.

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