Supporting Keppel Infrastructure Fund Management (KIFM) Finance team, we are looking for a dynamic individual:
Responsible for full set of accounts of the Trust, including management accounts, tax matters, GST, forecasting/budgeting and liaising with various business stakeholders including outsourced service providers.
Responsible for monthly group consolidation and review monthly results submission from the subsidiaries/joint ventures.
Responsible for group consolidation and financial reporting, SGX announcements, financial statements and Annual report.
Manage treasury matters including cash planning/management of the Trust, debt refinancing and hedging.
Assist in yearly external audit and internal audit.
Assist in matters pertaining to interested persons transactions.
Assist in international tax and other regulatory reporting requirements such as Pillar 2, FATCA, Country-by-Country Reporting, CRS and USSFTA.
Maintain financial policies and identify improvement opportunities in internal controls, processes, policies and procedures.
Ensure compliance with accounting, tax, statutory and regulatory requirements.
Participate in special projects, duties and responsibilities as required by management.
Degree in Accountancy / ACCA or equivalent.
At least 4 to 6 years of relevant experience in an Audit or Accountant role.
Candidates with strong consolidation experience, work exposure in listed company financial operations are preferred.
Ability to work under stress and in a fast pace environment.
Team player with good interpersonal skills and able to interact and work across functions and levels
Proficiency in using Microsoft 365, in particular Excel (working with formulas and pivot tables).
Knowledge of SAP Hana/Yardi is an added advantage
Top Skills
Keppel Singapore Office
1 HarbourFront Avenue, Level 2, Keppel Bay Tower, Singapore, 098632