Monitor cash position on projects, ensure sufficient fund in place, recommend cash call or capital distribution Lead in month end close and monthly financial reporting Prepare and process construction draw package and assist development and construction team on budget monitoring Lead in construction loan and financing activities Manage Purchaser Deposits as needed Prepare year end working paper financial statements on projects, development corp and holding companies Perform regular bank and trust deposit reconciliation Lead in monthly and annual remittance and T-slip preparation Lead and perform day to day accounting tasks as needed Ad hoc office tasks
One-three years project accounting experience Knowledge in ASPE and Realpac Advanced knowledge in Microsoft Office, particularly Excel, experience with Jonas preferred Attention to details, superior interpersonal skills, oral and written communication internal and external parties Bilingual, fluent in Mandarin and English