About The Role
This role manages the full spectrum of financial accounting and reporting for a portfolio of CBRE clients and properties. Responsibilities include overseeing monthly closing activities, preparing financial statements, performing GL/TB and bank reconciliations, posting journal entries, and providing variance analysis. The role also supports budgeting and forecasting, property tax computation, GST reporting, year‑end audits, property billings, payment processing, and arrears management. It involves liaising with external auditors, tax agents, bankers, and company secretaries, along with handling ad hoc tasks as required.
What You'll Do