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Cash Reconciliation Ops (Convertible Contract)

Job Description - Cash Reconciliation Ops (Convertible Contract)

  • 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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