Financial Reporting:
- Ensure timely and accurate preparation of financial statements, including income statements, balance sheets, and cash flow statements .
- Supervise the accounting team to validate and reconcile financial data, ensuring accuracy and compliance with accounting standards.
- Submit required financial reports to regulatory bodies and investors within specified deadlines.
- Ensure fully compliant and timely quarterly reviews and statutory audit closure
Fund Performance:
- Regularly assess the performance of real estate funds by evaluating metrics such as return on investment (ROI), net asset value (NAV), and internal rate of return (IRR).
- Generate comprehensive fund performance reports that highlight key performance indicators to investors and stakeholders.
- Recommend strategies for optimizing fund performance, such as asset allocation adjustments or investment diversification.
Risk Management:
- Identify potential financial risks associated with fund management and real estate investments, including market risks, credit risks, and liquidity risks.
- Develop risk mitigation strategies and action plans to minimize the impact of identified risks on fund performance.
- Maintain a comprehensive risk register and regularly update it to reflect changing risk profiles.
Compliance:
- Ensure compliance with all relevant financial regulations, including SEBI regulations, direct and indirect tax laws, and accounting standards.
- Oversee the preparation of financial statements and reports in accordance with Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS).
- Conduct periodic audits and internal reviews to verify compliance and address any compliance issues promptly.
Strategic Planning:
- Collaborate with senior management to analyze financial data and provide insights for strategic decision-making.
- Assist in the development of long-term financial plans and investment strategies to achieve organizational goals.
- Present financial forecasts, investment opportunities, and risk assessments to support strategic planning discussions.
Team Leadership:
- Provide clear direction and objectives to the finance team, ensuring alignment with the organizations financial goals.
- Foster a culture of continuous learning and development, encouraging team members to enhance their skills and expertise.
- Evaluate team performance and provide regular feedback, coaching, and mentorship to achieve a high-performing finance team.
Investor Relations:
- Establish and maintain strong relationships with investors, Banks, addressing their inquiries and concerns promptly and professionally.
- Provide regular updates to investors on fund performance, financial outlook, and strategic initiatives.
- Collaborate with the investor relations team to organize investor meetings, presentations, and reports to enhance transparency and trust.
Budget Management:
- Collaborate with project managers/CPO and stakeholders to develop detailed project budgets for real estate development initiatives.
- Monitor project expenses and variances against budgets, proactively identifying and addressing any budget overruns.
- Provide regular budget performance reports to senior management, highlighting areas for cost-saving opportunities.
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