Excellent opportunity to join a leading investment bank
6 months contract for a start, extendable and convertible to permanent
About Our Client
Our Client is a leading global financial institution that delivers a broad range of financial services across investment banking, securities, investment management and consumer banking.
Job Description
Set up new reconciliation processes with main focus on cash recon
Collaborate with internal teams including Operations, Finance, Product to understand and map out the flows across various internal systems
Understand complex systems and recommend solutions to consolidate and simplify recon processes
Integrate existing daily reconciliations to the new processes across internal records and external systems
Support ad-hoc reconciliation and reporting requests
The Successful Applicant
Working experience with industry leading reconciliation software, Smartsteam preferred
Prior experience in operations, finance, accounting support
Proficient in MS Excel and SQL
What's on Offer
Excellent opportunity to join a leading investment bank
Work directly with institutional clients, sales & trading desks
6 months contract for a start, extendable and convertible to permanent
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