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Job Description
Structured overview of role & requirementsAbout This Role
Prepare and review timely and accurate monthly financial statements and month-end close journal entries for complex commercial property portfolios (typically 6-10 properties).
Conduct monthly variance analysis for balance sheet and P&L accounts to identify deviations beyond thresholds and follow up on bank and mortgage reconciliations.
Assist with annual budget compilation and year-end reconciliation processes; provide oversight and financial review support to team members.
Minimum Requirements
Experience Required: Not explicitly mentioned in the JD.
Must be able to work On-site in Gurugram.
Proficiency in accounting for commercial real estate properties, including journal entries, bank/mortgage reconciliations, and variance analysis.
Availability for a 40-hour work week.
Ideal Candidate Profile
Experienced in handling financial accounting and reporting for mid-size commercial property portfolios (6-10 properties).
Strong capability to review and interpret complex accounting entries and perform variance and reconciliation analysis.
Comfortable working in an on-site environment and providing guidance to junior team members.
