What's on Offer
Job Description
- Responsible for coordinating cash movements with investment partners, lenders, project monitors as well as development, finance and accounting teams to ensure that investor and lender funding is achieved timely,
- Investment analysis,
- Monitor and provide Cash Flow analysis,
- Budget and models preparation, variation analysis, reporting to the group,
- Identifying and solving any issues that may delay timing funding from investors and lenders,
- Work very closely with the finance and accounting teams to provide weekly updates of investor and lender fundings and critical vendor payments
The Successful Applicant
- University education with finance, business or other quantitative degree,
- Strong initiative and ability to manage multiple projects as well as strong follow through skills,
- Advanced knowledge and strong user of Microsoft Excel,
- High analytical and problem-solving skills and willingness to take full ownership of tasks,
- Proactive, independent, open, and a proven "can do" attitude,
- Proven ability to understand key business needs and play an active part of the team,
- Ability to complete projects timely and accurately is critical,
- Must be detail oriented with strong organizational and analytical skills,
- Ability to work effectively with others in fast paced, dynamic environment
- Experience in real estate market will be an advantage but not required,
- Fluency in English is a must