US GAAP, Property Accounting, Financial Reporting Analysis, Budgeting and Forecasting, Cash Flow Management
Position Title: Manager - Accounts
Experience: 7+ Years
Posted On: 07-08-2026
Roles and Responsibilities:
- Financial Reporting Analysis
- Budgeting Forecasting
- Cash Flow Management
- Client Advisory
- Internal Controls Process Improvement
- Prepare management reports and executive dashboards for clients.
- Perform trend analysis, ratio analysis, and financial performance reviews.
- Identify and explain unusual variances in financial statements.
- Conduct detailed analytical reviews of financial reports and general ledger accounts.
- Ensure the accuracy and integrity of financial information before client delivery.
- Prepare annual budgets and financial forecasts.
- Perform Budget vs. Actual variance analysis.
- Provide actionable recommendations to improve financial performance.
- Prepare weekly and monthly cash flow forecasts.
- Monitor available cash and working capital.
- Recommend payment schedules and cash utilization strategies.
- Identify potential cash flow risks and recommend corrective actions.
- Work directly with US-based property management clients to discuss financial reports and business performance.
- Present financial insights and recommendations during review meetings.
- Build long-term relationships by delivering proactive financial support.
- Monitor and improve internal financial controls.
- Design and implement standardized accounting processes.
- Develop systems that reduce errors in data collection, reconciliations, and financial reporting.
- Drive continuous process improvement through automation and best practices.
- Mentor and support junior accounting staff.
Candidate Profile:
- Bachelors degree in Commerce, Accounting, Finance, or a related discipline.
- CA, CMA, CPA, ACCA, or MBA (Finance) is preferred.
- Minimum 5 8 years of experience in accounting or finance, with at least 2 years in a leadership role.
- Robust knowledge