Develop and implement financial strategies, including risk mitigation and forecasting tailored to real estate projects.
Prepare and present high-level financial reports, including income statements, project cash flows, and asset performance.
Build and maintain strong relationships with financial institutions, managing loan facilities, escrow accounts, LCs, LGs, and other financial instruments.
Analyze financial data to identify trends, variances, and opportunities for increased profitability.
Strengthen internal financial controls and ensure the accuracy and transparency of financial reporting.
Lead the budgeting and forecasting processes, ensuring alignment with business objectives.
Ensure compliance with tax laws, licensing requirements, and real estate financial regulations.
Oversee monthly and quarterly financial statements and manage effective cash flow and working capital.
Provide senior management with accurate and timely financial insights to support strategic decision-making.
Coordinate with external auditors and ensure proper financial documentation.
Drive cost-efficiency across operations while maintaining financial stability.
Support large-scale real estate development and investment projects with robust financial planning.
Requirements :
Bachelor’s degree in Accounting, Finance, or a related field (Master’s degree is a plus).
CPA, CMA, or ACCA certification preferred.
Fluency in English is a must – both written and spoken.
Minimum of 15 years’ experience in financial management.
In-depth knowledge of real estate financial practices, investment models, and international reporting standards (IFRS / GAAP).
Proficiency in ERP systems (e.g., SAP, Oracle).
Strong leadership, analytical, and decision-making skills.
Proven experience managing financial operations for property development, investment portfolios, or real estate holding companies.