- Control, monitoring and supervision Property Manager with other finance/accounting department to obtain the financial reporting, detail supported report and general ledger within timeline.
- Ensuring accurate and timely monthly, quarterly and year-end closing.
- Ensuring the accurate and timely processing of payment transactions.
- Supporting budget and forecasting activities.
- Coordination with appraiser and review appraiser reports.
- Collaborating director in order to support overall department goals and REIT’s objectives.
- Advising subordinates on how to best resolve the issues affecting routine work.
- Working with the report supported The SEC & SET.
- Registrar work and payment of benefits to unitholders.
- Supporting the preparation financial statement and monthly NAV for approval by Trustee
- Supporting the preparation of financial audits, Financial statement, Notes to Financial statement and coordinating the audit process.
- Analysis financial statement and comparative with budget.
- Others with Finance & Accounting concerned.