Job Description
Perform inter-system reconciliations and transaction fund allocations
Communicate with agents, clients, and counterparties to resolve financial queries
Manage KYC, AML, reference data, and documentation processes
Prepare detailed internal and client-facing reports
Escalate unresolved issues in a timely and effective mannerPerform inter-system reconciliations and transaction fund allocations
Communicate with agents, clients, and counterparties to resolve financial queries
Manage KYC, AML, reference data, and documentation processes
Prepare detailed internal and client-facing reports
Escalate unresolved issues in a timely and effective manner