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Job Description
Structured overview of role & requirementsAbout This Role
Prepare monthly financial statements and manage General Ledger month-end close for a portfolio of properties.
Handle cash management activities including bank reconciliations, deposit applications, and client funding coordination.
Coordinate and organize year-end audits, prepare supporting schedules, and provide JDE finance support to site staff and account teams.
Minimum Requirements
Minimum 6-7 years of operational/general ledger accounting and finance experience; real estate accounting experience is a plus.
Commerce graduate or Post Graduate/CA Inter is preferred.
Mandatory strong finance background with proficiency in Profit & Loss analysis, Balance Sheet overview, and MS Office.
On-site work location in Gurugram, India.
Ideal Candidate Profile
Experienced in real estate financial accounting and familiar with mortgage and management agreements for properties.
Operates independently within established procedures and can make sound decisions in straightforward financial situations.
Ability to communicate effectively with clients and internal teams, providing timely finance support and maintaining compliance with audit and payment authorization processes.
