Fixed Term Appointment, Trade Operations, Corporate Banking, Technology and Operations
Core
Manage and oversee critical daily reconciliation processes to ensure operational accuracy, risk mitigation, and compliance with internal controls.
Role type
Trade Operations Reconciliation Specialist
Builds
Operational stability and accurate financial reporting for Corporate Banking
Domain
Banking / Trade Operations
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Nostro reconciliation, Murex reconciliation, IMEX reconciliation, Factoring reconciliation, exception analysis, process documentation, regulatory compliance
Preferred skills
EDPMS processing, TRRACS processing, process improvement
Technologies
Murex, EDPMS, TRRACS
Responsibilities
Perform daily reconciliation activities (Nostro, Murex, IMEX, Factoring), identify and resolve reconciliation breaks, monitor aged reconciliation items, handle BAU activities for EDPMS Desk, process TRRACS-related activities
Seniority
Junior, hands-on IC