Job
Core
Manage daily system reconciliation services for TSYS clients, investigating out-of-balance incidents and producing consolidated status reports.
Role type
Senior Reconciliation Specialist (Financial Services)
Builds
Automated balancing spreadsheets and additional reconciliation checkpoints for clients
Domain
Financial Services / Payments / Banking
Required skills
Financial reconciliation, data analysis, Microsoft Excel (pivot tables, macros, formulae), independent work, attention to detail
Preferred skills
SQL, Python, scripting, Jupyter Lab, VBA, LCCI Higher Accounting
Technologies
Microsoft Excel, LibreOffice, SQL, Python, Jupyter Lab
Responsibilities
Conduct daily reconciliation of the PRIME service for clients, Investigate out-of-balance incidents and raise tickets for root cause resolution, Participate in designing and testing automated balancing spreadsheets for new clients, Participate in the analysis, design and testing of additional reconciliation checkpoints for existing clients
Seniority
Mid-Senior, hands-on IC