Responsible for accurate and timely completion of assigned reconciliation.
Identify and investigate exceptions within established time parameters.
Escalate and work closely with clients and custodian banks to ensure timely resolution of exceptions.
Ability to effectively manage, research/resolutions/follow-ups for closure of open items, cash and position breaks.
Should have knowledge of trade life cycle.
Manage SLAs and customer escalations.
Adaptable working on all holidays and shift timings (Night).
Strong problem-solving ability.
Ability to foresee and respond proactively on the floor.
Providing Stateside partners and leadership team status updates for work progress.
High energy and resilience level.