Company name: VAI Developments
Position: Treasury Accountant
Requirements:
- Bachelor's degree in Finance, Accounting, Economics.
- 3 to 4 years of progressive experience in treasury functions within the real estate sector.
- In-depth understanding of financial markets, cash management, and risk assessment in real estate finance.
- Proficiency in financial analysis tools/software relevant to real estate finance.
- Strong communication skills.
Location: Beverly Hills
How to apply: Kindly send your CV to This email address is being protected from spambots. You need JavaScript enabled to view it. and mention the job title in the subject line
Overview:
VAI Developments in Sheikh Zayed is seeking an experienced Treasury Accountant with a background in the real estate sector to oversee financial activities related to cash flow management, liquidity, and risk assessment. This role requires a seasoned professional with a strong understanding of financial principles and prior experience in real estate finance.
Key Responsibilities:
- Cash Flow Oversight:
Manage daily cash positions to ensure optimal liquidity for real estate development operations.
Prepare and analyze cash flow forecasts tailored to the nuances of real estate finances.
- Banking Relationships:
Foster and maintain strategic relationships with banks and financial institutions pertinent to real estate financing.
Execute banking transactions, including deposits, withdrawals, and fund transfers, aligning with real estate financing requirements.
- Risk Management in Real Estate Finance:
Identify and evaluate financial risks specific to the real estate sector, including market fluctuations and liquidity challenges.
Devise risk mitigation strategies aligned with the dynamics of real estate finance.
- Real Estate Investment Strategies:
Assist in developing and implementing real estate-specific investment plans to optimize returns and manage risk exposure effectively.
Evaluate and recommend investment opportunities tailored to real estate finance requirements.
- Financial Reporting in Real Estate:
Prepare comprehensive reports on cash positions, forecasts, and variances customized for real estate financial analysis.
Offer strategic insights based on financial analysis, taking into account real estate market dynamics.
- Regulatory Compliance in Real Estate Finance:
Ensure compliance with real estate financial regulations, accounting standards, and internal policies.
Maintain accurate and updated documentation specific to real estate treasury operations.
Skills and Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, or related fields.
- 3 to 4 years of progressive experience in treasury functions within the real estate sector.
- In-depth understanding of financial markets, cash management, and risk assessment in real estate finance.
- Proficiency in financial analysis tools/software relevant to real estate finance.
- Strong communication skills to collaborate effectively within the real estate finance domain.
- Attention to detail and accuracy in managing financial data within real estate contexts.
- Any certifications or courses related to real estate finance are advantageous.