JLL empowers you to shape a brighter way.
Our people at JLL are shaping the future of real estate for a better world by combining world class services, advisory and technology for our clients. We are committed to hiring the best, most talented people and empowering them to thrive, grow meaningful careers and to find a place where they belong. Whether you’ve got deep experience in commercial real estate, skilled trades or technology, or you’re looking to apply your relevant experience to a current industry, join our team as we help shape a brighter way forward.
Prepare timely and accurate monthly property financial statements for most complex properties, generally a 6-8 to 6-property portfolio, by deadlines established within Client Accounting Services and external Client.
Responsible for reviewing end-to-end work, which is assigned to the team, generally around 8-10 properties portfolio.
Responsible for reviewing month-end close journal entries (accrual, prepayments, mortgage, etc.),
and accounting corrections/reclassifications entries to ensure accurate accounting records against the income and expenses accounts.
Responsible for monthly bank and mortgage follow-ups for any outstanding or un-reconciled items identified during month end.
Conduct monthly variance analysis for balance sheet and P&L; codes to determine the reason for deviations beyond a threshold limit.
Timely preparation and delivery of the monthly financial packages in accordance with the deadline established within Client Accounting Services and by external Clients.
Assist with annual budget preparation – compile key assumptions and capital budget information, review for reasonableness, and ensure timely and accurate entry into the accounting system.
Annual year-end reconciliation process—Assist in preparing, calculating, and reviewing the year-end reconciliation process. Ensure all adjustments are billed timely and correctly per lease requirements.
Assume oversight duties by performing financial reviews
📌 Finance SME (Gurugram)
🏢 JLL
📍 Gurugram
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