Make an impact by helping ensure accurate cash positions across accounts, currencies, and cash networks. In this role, you will investigate and resolve reconciliation breaks, strengthen controls, and improve end-to-end processes. You will partner with internal teams and external parties to reduce recurring exceptions and improve operational efficiency.
As a Trade Lifecycle Specialist III – Reconciliations in the Reconciliations team, you will manage moderate to complex cash reconciliation activities and investigate breaks to support accurate books and records. You will monitor intraday and end-of-day activity, drive timely issue resolution, and escalate high-impact items when needed. You will apply structured problem-solving to address root causes and help strengthen processes, controls, and documentation. You will collaborate with stakeholders and technology partners to support continuous improvement.
Job responsibilities:
Experience using automation and analytics tools (e.g., Alteryx, VBA, Tableau, Microsoft Copilot, or similar applications).
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