The Analyst will be responsible for supporting treasury and finance operations for UK Insurance clients, including suspense account investigations, reconciliation activities, treasury transaction processing, journal uploads, payment investigations, reporting, and month-end controls. The role requires solid analytical skills, attention to detail, and the ability to work within a controlled financial setting while meeting operational SLAs and compliance requirements.
Key Responsibilities
Key Responsibilities
Treasury & Reconciliation Operations
Perform daily investigation and resolution of suspense account transactions.
Conduct periodic review and analysis of outstanding balances and unresolved items.
Execute daily and monthly reconciliation activities across banks, ledgers, and control accounts.
Investigate and resolve reconciliation breaks within agreed timelines.
Maintain supporting documentation and audit trails for all reconciliations.
Financial Processing
Process treasury-related transactions in accordance with established procedures.
Upload and validate financial journals within ERP systems.
Review transaction logs and identify exceptions requiring resolution.
Support payment-related activities, including transaction amendments and cancellations where required.
Reporting & Controls
Prepare daily, weekly, and monthly operational reports.
Ensure compliance with internal controls, governance standards, and client requirements.
Maintain accurate records to support internal and external audits.
Query & Stakeholder Management
Investigate and resolve finance and treasury-related queries from internal stakeholders.
Liaise with operational teams to obtain information and address exceptions.
Escalate unresolved issues ap
📌 Analyst Non Voice Lucknow
🏢 HCLTech
📍 Lucknow
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