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Well-known brand, mid-level 2–5 years, metro location, and generalist financial skillset increase applicant density.
Role demands real-estate asset management experience and investor reporting, making domain transferability limited.
Explicit 2–5 years requirement plus domain-specific investor reporting and real estate risk skills raises strictness.
Analyze financial performance of multifamily and commercial property portfolio for JLL Real Estate Capital, supporting risk assessment and reporting.
Collaborate with Asset Managers and Portfolio Managers to implement and support asset management strategies, risk management, and related analytics.
Lead assigned reporting, financial statement analysis, and departmental tasks to support investor and management requirements.
Degree/Diploma in Real Estate, Business Administration, Accounting & Finance or related field.
2-5 years of relevant work experience in real estate financial analysis or asset management.
Proficiency in Microsoft Excel and Word; strong analytical and organizational skills.
On-site location requirement: Gurugram, Haryana, India.
Experienced in real estate financial analysis with knowledge of investor requirements such as Fannie Mae, Freddie Mac, HUD, and Life Companies.
Detail-oriented with ability to manage multiple tasks, audit own work, and work independently and collaboratively.
Capable of data extraction, cleaning, interpretation, and reporting using Excel and CRM systems to support asset management decisions.