





Tier-1 brand, mid-level experience, and Mumbai location increase candidate competition despite niche fund expertise.
Requires institutional property fund accounting and UK/IFRS expertise, limiting cross-industry transferability.
Mandatory 5+ years, professional accounting qualification, and fund-specific UK GAAP/IFRS skills make screening stringent.
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Accountable for financial control and oversight of UK and Irish real estate property funds including new fund launches and operational setup.
Responsible for reviewing and approving financial reporting packs, NAVs, distribution calculations, annual financial statements, and audit management.
Manage supplier relationships, budgets, compliance monitoring, transactions (acquisitions/disposals), liaison with JV partners/investors, and provide ad-hoc financial support and risk management.
Degree or AAT qualified; ACA/ACCA/ACMA qualified accountant (or equivalent).
Minimum 5 years' experience in property financial accounting, preferably including institutional property funds.
Strong technical knowledge of UK GAAP and IFRS required.
Location: Mumbai (Hybrid working with 3 days onsite as per policy).
Experienced in complex financial operations and reporting within UK/Irish property funds and joint ventures.
Operates with detailed, diligent, and analytical approach, capable of questioning and challenging financial data critically.
Strong communicator comfortable managing supplier relationships and interacting with internal and external stakeholders across jurisdictions.