This role serves as the dedicated finance resource for a specific client account, managing all accounting and financial reporting activities
Job Summary
This role serves as the dedicated finance resource for a specific client account, managing all accounting and financial reporting activities.
The position requires processing accounts payable and receivable, preparing monthly financial reports, and conducting variance analysis against budgets.
Candidates will work closely with client stakeholders and internal teams to ensure compliance with JLL policies and client-specific procedures.
Matching Summary
This role serves as the dedicated finance resource for a specific client account, managing all accounting and financial reporting activities.
Skills & Requirements
Must-have
Bachelor's degree in Finance or Accounting
2-4 years client-facing finance experience
Strong proficiency in SAP or Oracle ERP systems
Advanced Microsoft Excel skills including pivot tables
Experience with month-end closing and reconciliation
Nice-to-have
Professional accounting qualification (CA, ACCA, CPA)
Background in facilities or property management
Experience with financial consolidation across entities
Knowledge of SOX compliance and internal controls
Ability to build strong client relationships
Key Requirements
Bachelor's degree in Finance, Accounting, Commerce, or Business Administration
2-4 years of progressive finance and accounting experience
Partial or completed professional accounting certification preferred