Candidate will be responsible for reconciling financial and risk books for the bank, resolving exceptions and designing new reconciliations for the bank.
Key Responsibilities:
Performing reconciliation between risk and finance books.
Resolving exceptions & exposures for the bank by working with various internal department of the bank.
Reporting metrics to bank management
Understanding of financial/trading books of the bank and making sure that all books are in order
Dealing with bank's P&L, balance sheets, provide feeds to MRA of the bank.
Conceptualizing and designing new recs for the bank
Moving existing recs to strategic tool selected by the bank
Data feeds and remediation of existing recs
Qualifications:
Graduate / Post Graduate ( preferably MBA finance )
Ability to write and communicate clearly, easily and efficiently
Having MIS / Reconciliation / Operation related work experience will be an added advantage
Excellent sense of urgency and prioritization
English speaking, reading, writing
Strong MS skills (MS access, MS excel, PowerPoint)
Self-motivated and able to work with the minimum of supervision
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