





Tier-1 brand, metro location, and common finance role increase candidate competition significantly.
Core accounting skills are transferable, but property-management specifics raise moderate domain sensitivity.
No explicit years but requires hands-on accounting, reconciliations, vendor management and budgeting experience.
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Manage client finance and accounting functions at the property site as per Property Management Services agreement.
Handle invoice processing, vendor payments, reconciliation, and common area maintenance/utility invoice generation and collection.
Prepare financial reports, assist in budget preparation, monitor tenant collections/credits, and coordinate default proceedings.
Experience in finance and accounting related to property management: Not explicitly mentioned in the JD.
Proficiency in accounting software and invoice/payment processing.
Ability to perform vendor reconciliations and prepare financial reports.
Location requirement: On-site in Gurugram; Weekly hours: 48 hours.
Experienced in residential property financial management with focus on accuracy and compliance.
Detail-oriented, handles reconciliation and financial reporting with coordination across teams.
Operationally focused on timely collections, vendor relations, and budget support in residential property contexts.