Finance Manager
SC Capital Partners is a leading Asia Pacific real estate investment manager headquartered in Singapore, with a 20-year track record, a diverse base of institutional investors and an established presence across key regional markets.
The Finance Manager will support the SCORE+ platform, which invests primarily in core and core-plus real estate across Asia Pacific gateway markets, with a focus on stable income growth, long-term capital appreciation and disciplined capital preservation. This is a hands-on role responsible for SPV accounting oversight, fund consolidation, cash management, audit and tax coordination, lender reporting and high-quality investor reporting across a multi-jurisdictional fund structure.
Responsibilities
Financial and Investor Reporting
· Review monthly, quarterly and annual management accounts, standalone and consolidated financial statements, prepared by fund administrator and service providers, ensuring accuracy, completeness and compliance with IFRS.
· Coordinate annual audits, tax compliance and statutory filings across the fund structure, working closely with external auditors, tax advisors and service providers.
· Support quarterly investor reporting, including financial analysis and commentary, presentation materials, and responses to investor and internal stakeholder queries.
· Prepare and review lender reporting, debt compliance certificates, covenant calculations and other financing-related deliverables.
Fund Operations & Cash Management
· Monitor portfolio cash flows, debt servicing obligations, covenant compliance and liquidity requirements across fund, holding company and SPV levels.
· Coordinate capital calls, distributions, intercompany funding, shareholder loans and fund flows across the investment structure.
· Oversee payment processes, bank account administration, KYC/AML requests and treasury-related controls in collaboration with banks, service providers and internal stakeholders.
· Maintain robust finance controls, reporting calendars and process documentation to support timely, accurate and scalable fund operations.
Corporate & Transaction Support
· Oversee SPV governance matters through corporate secretarial providers, including entity maintenance, board and shareholder resolutions, regulatory filings and liquidation processes where applicable.
· Support asset management initiatives, refinancing exercises, divestments and post-closing matters from a finance, structuring and reporting perspective.
Requirements:
· Degree in Accounting, Finance or a related discipline; CPA, CA or equivalent professional qualification preferred.
· Strong IFRS consolidation experience across multi-entity and cross-border fund structures, including holding companies and SPVs.
· Around 8 years’ relevant experience in fund finance, real estate investment management, private equity real estate, auditor transaction support; Big 4 audit background preferred.
· Good understanding of fund structures and tax (CIT, WHT, VAT).
· Detail-oriented, hands-on and able to multi-task in a lean team environment.