Make your mark safeguarding critical settlement flows by resolving breaks quickly, strengthening controls, and improving automation and reporting.
As a Reconciliation Associate within Treasury Operations, you execute daily operational processes and settlements to ensure timely, accurate outcomes aligned to policy, controls, and audit expectations. You investigate reconciling items and transaction posting errors across books and records, coordinate resolution across stakeholders, and document outcomes with clear communication. You partner closely with Finance, Product, Operations, and Technology to sustain a robust control environment that supports Diversity, Inclusion & Opportunity.
Job Responsibilities:
Respond to internal and external audit queries by providing audit trail and documentation, and help build new processes as new products are added.
Required qualifications, skills, and capabilities:
Strong written and verbal communication skills, including communicating progress, risks, and outcomes to senior stakeholders.
Preferred qualifications, skills, and capabilities:
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