Treasury Reconciliation Officer
5 months ago
**Overview**
This role will include the functions like cash & stock reconciliation and work in accordance to procedure set for an activity. The role needs to work in rotational shifts starting at 3:30 AM for APAC and from 11.30 AM for EMEA.
**Key Accountabilities and main responsibilities**
Strategic Focus
- Participate as a positive member of the team and maintain good working relationships with colleagues, including cooperating with others to achieve the team’s goals, providing support and assisting other teams across the business as required
- Learn, Maintain and update relevant systems and data bases, participating in pre and post system testing for enhancements as required
- Responding to correspondence to process and deadline
- Maintain relevant systems/data bases
- Help with preparation of correspondence, presentations, reporting as per business requirements.
- Understanding compliance and adhere to all legislative, procedural, industry, financial and client specific procedures, where relevant, to minimise risk and escalate non-adherence as per the escalation matrix.
- Identify opportunities for process improvements that positively impact efficiencies and customer experience
- Support and assist other team members as and when required
- Complete mandatory training by the required due date and participate in training relating to changes in procedures, company policy, values, cross skilling and updates to tools and systems used by the business
- Ensure that your individual targets and objectives are achieved
- Provide superior service, ensuring service and quality standards are met and to minimise re-work
Operational Management
- Perform a variety of reconciliations for the Reconciliations Team on a daily basis
- Answer queries from our internal customers and relevant departments within the business
- Ensure all exceptions are logged in the required systems and raised to the relevant business team with effective communication
- Maintain control sheet and issue to business areas for confirmation
- Ensure that all regulatory CASS requirements are met (e.g. internal & external reconciliations, break resolution, funding shortfalls etc.)
- Assist with the compilation of daily and monthly MI for onward distribution to key stakeholders
- Ensure reconciliation “best practice” is used when performing all reconciliations
- Ensure appropriate escalation is employed when identifying reconciliation anomalies
- Show a high level of risk awareness
- Complete all tasks in a timely manner
Governance & Risk
- Maintain level of accuracy
- Complete assigned task as per provided SLA.
**Experience & Personal Attributes**
- 0-3 years’ experience in Financial / Capital markets reconciliation background would be key and strong accounting knowledge.
- A Bachelors or master’s degree in business Or Finance or Banking related discipline from a reputed College/University.
- Working knowledge of Microsoft Office programs (Outlook, Word, Excel, PP)
- Good communication skills - both written and oral
- Excellent attention to detail - “right first time”
- Good time management skills and the ability to work with support / guidance
- Demonstrates awareness of good customer service
- Ability to work as a team and under supervision. Demonstrates good teamwork ethic, showing willingness to assist peers and take on additional tasks
- Takes ownership of role, responsibilities and impact on the wider team
- Demonstrates willingness for self-improvement and professional development
- Ability to work to tight deadlines and follow process where necessary
- Ability to maintain a high degree of accuracy and attention to detail
- Numerate and literate
- Demonstrated high level of initiative, motivation, and organisational skills
- Analytical and problem-solving skills
- Effective oral and written communication skills including negotiation skills, ability to liaise successfully with internal and external parties, and ability to work effectively in a team environment
- Flexibility - able to meet demanding deadlines and work long hours to meet those deadlines, as required
- Qualification in business/financial markets/law/securities industry desirable
- Accurately process, record, review, and complete various administrative operations in a timely manner including but not limited, Placing Dealing, Open Accounts of Clients, Update / Amend Client’s personal information, Performing Settlement and Reconciliation for the activity on the account.
- Adhere to procedural, regulatory & industry requirements
MUFG Pension & Market Services is a global, digitally enabled business connecting millions of people with their assets - safely, securely and responsibly.
Through our two businesses MUFG Retirement Solutions and MUFG Corporate Markets, we partner with a diversified portfolio of global clients to provide robust, efficient and scalable services, purpose-built solutions and modern technology platforms that deliver world class outcomes and
-
Treasury Reconciliation Officer
5 months ago
Mumbai, India Link Group Full time**Overview** This role will include the functions like cash & stock reconciliation and work in accordance to procedure set for an activity. The role needs to work in rotational shifts starting at 3:30 AM for APAC and from 11.30 AM for EMEA. **Key Accountabilities and main responsibilities** Strategic Focus - Participate as a positive member of the team...
-
Wbo:treasury Operations:team
5 months ago
Mumbai, Maharashtra, India Axis Bank Full time**WBO:Treasury Operations:Team - Reconciliation (Forex) - Nostro** **INTERNAL USAGE**: **No. of Vacancies**: **Reports to**: - Treasury Operations:Head - EGRC, Planning & Strategy, Nostro Reco**Is a Team leader?** - N**Team Size**: **Grade**: - AM-SM**Business**: - Corporate Center**Department**:- Wholesale Banking Operations**Sub**Department**: - WBO -...
-
Team Member-treasury Operations-treasury Operations
3 months ago
Mumbai, Maharashtra, India Kotak Mahindra Full time**Company**:Kotak Mahindra Bank Limited. **Position**:Manager/Senior Manager - Treasury Operations **Reporting to: Head **- Head-Fixed Income and Money Markets. **Location**:Mumbai -BKC. 1. Hands-on knowledge about Treasury products like Fixed Income and Money Market Products 2. Settlement and confirmation processing, plus query resolution 3....
-
Treasury Assistant
5 months ago
Mumbai, Maharashtra, India Bluedart Express Ltd Full time**Assistant Manager Treasury (Mumbai)** Management Graduate / CA / ICWAI, 2+ yrs exp post qual - Investment management, liquidity & cash management, management of FX& Interest Rate exposure, treasury operations, effective insurance management and treasury policy compliance_ **Why should you look at this role?** Salary : 7-9 lakh per annum Health...
-
Chief Treasury Officer
2 weeks ago
Mumbai, Maharashtra, India Red Hat India Private Limited Full timeAbout the role:We are seeking a skilled Treasury Analyst to join our team at Red Hat India Private Limited. As a Treasury Analyst, you will be responsible for supporting the corporate Treasury team in all activities regarding cash and investment management across our Asia Pacific offices.Key responsibilities:Monitor local regulatory requirements and...
-
Treasury Operations Specialist
1 week ago
Mumbai, Maharashtra, India Outsized India Private Limited Full timeAt Outsized, our goal is to provide high-quality consulting services and expertise to our clients in financial services and management consulting.We are currently working with a client who is looking for a highly skilled Treasury Operations Expert to support their project.This role is a crucial part of maintaining the smooth operation of the treasury...
-
Officer - Risk and Control Treasury
3 months ago
Mumbai, Maharashtra, India Citi Full timeThe Securities & Derivative Analyst 1 is an entry level position responsible for managing regulatory reports related to Treasury Operations. This also requires close co-ordination with Operations units and stakeholders across the bank. Responsible for reviewing the related guidelines for accurate submission of reports and driving automation...
-
Treasury Back Office Analyst
4 weeks ago
Mumbai, Maharashtra, India Roquette Frères S.A. Full timeJoin Our Team as a Treasury Back Office AnalystAbout RoquetteRoquette is a global leader in plant-based ingredients and a leading provider of pharmaceutical excipients. We are a family-owned company that values diversity, equity, and inclusion in everything we do.Job SummaryWe are seeking a highly skilled Treasury Back Office Analyst to join our team in...
-
Treasury Operations Specialist
2 weeks ago
Mumbai, Maharashtra, India Outsized India Private Limited Full timeAt Outsized, we match clients in financial services and management consulting to high-quality independent consultants and boutique/specialist firms for the execution of their key projects.We are seeking a highly skilled Treasury Operations Specialist to join our team in Riyadh, KSA. In this role, you will play a crucial part in maintaining the smooth...
-
Reconciliation Officer
18 hours ago
Mumbai, Maharashtra, India YATRIBIZ PRIVATE LIMITED Full time**We at YatriBiz is hiring for Reconciliation Officer.** - Knowledge and Experience with BSP Accounting. - Knowledge and Experience with Hotels suppliers - Carrying out corrections for invoices which are issued on cash basis instead of invoicing as credit invoices to ensure accurate recording of debtors as per requirements of finance department. - Sales,...
-
Treasury Back Office Analyst
5 months ago
Mumbai, India Roquette Frères S.A. Full timeRoquette is a family-owned global leader in plant-based ingredients and a leading provider of pharmaceutical excipients. Want to help us make a difference? Using plant-based resources, we collaborate with our customers and partners to imagine and offer ingredients to better feed people and treat patients. Each of our ingredients responds to unique and...
-
Head of Treasury
4 weeks ago
Mumbai, Maharashtra, India Virtuous Advisors & Resources Private Ltd (Virtuous Resources) Full timeJob Title: Head of NBFC TreasuryVirtuous Advisors & Resources Private Ltd (Virtuous Resources) is seeking a seasoned professional to lead our NBFC Treasury team.Key Responsibilities:Fund Raising: Develop and execute strategies to raise capital from various sources, including banks, NBFCs, AMCs, FIIs, DIIs, corporate treasuries, UHNIs, family offices, and...
-
Associate Treasury 1
2 weeks ago
Mumbai, Maharashtra, India TIAA Full timeTreasury Associate - IN The Associate will be managing bank system administrator for various banks, processing and tracking of bank fees against budget, Maintain Banking relationships, managing bank accounts operations and completing KYC requirements with various banks. Key Responsibilities and Duties - To handle the cash movements, payments, user interface...
-
Treasury Specialist
4 weeks ago
Mumbai, Maharashtra, India DBS Bank Full timeJob Title: Treasury SpecialistJob Summary:We are seeking a highly skilled Treasury Specialist to join our team at DBS Bank. As a key member of our sales and advisory team, you will be responsible for servicing IBG & CBG customers for BAU Fx deal bookings, handling daily client reporting in FXCS, and taking care of Murex EOD/Recon related operational...
-
Reconciliation - Associate
5 months ago
Goregaon, Mumbai, Maharashtra, India JPMorgan Chase & Co Full time**JOB DESCRIPTION** Build your career as a “Middle Office” with transaction analysis, P&L and risk, and project support to the T/CIO desks which execute transactions and manage resulting positions **Responsibilities**: - Perform reconciliations across various platforms / systems such as risk management; sub-ledgers; Risk and P&L aggregators; market &...
-
Treasury Head
4 weeks ago
Mumbai, Maharashtra, India Virtuous Advisors & Resources Private Ltd (Virtuous Resources) Full timeJob Title: Head of NBFC TreasuryVirtuous Advisors & Resources Private Ltd (Virtuous Resources) is seeking a seasoned professional to lead our NBFC Treasury team. As the Head of NBFC Treasury, you will be responsible for driving our fund-raising initiatives, managing treasury operations, and ensuring compliance with regulatory requirements.Fund...
-
Treasury & Markets Specialist
3 weeks ago
Mumbai, Maharashtra, India DBS Bank Full timeJob Title: Treasury & Markets SpecialistJob Summary:We are seeking a highly skilled Treasury & Markets Specialist to join our team at DBS Bank. As a key member of our team, you will be responsible for servicing IBG & CBG customers for BAU Fx deal bookings, handling daily client reporting in FXCS for IBG & CBG clients, and taking care of Murex EOD/Recon...
-
Treasury Analyst
4 weeks ago
Mumbai, Maharashtra, India Red Hat India Private Limited Full timeAbout the Role:The Red Hat Finance team is seeking a skilled Treasury Analyst to join our APAC region. In this role, you will support the corporate Treasury team in cash and investment management across our Asia Pacific offices.Key Responsibilities:Monitor local regulatory requirements and liquidity managementReview daily funding requirements and cash...
-
Account Executive-treasury
5 months ago
Mumbai, Maharashtra, India AVANT GROUP Full timeThe Account Executive - Treasury will play a vital role in managing the company's financial operations, cash flow, and liquidity in the real estate sector. This role requires a detail-oriented and analytical professional with strong financial acumen to ensure optimal cash management, risk mitigation, and compliance with financial regulations. **Cash...
-
Treasury Admin
5 months ago
Mumbai, Maharashtra, India Indicia Worldwide Full time**About us** Indicia Worldwide is an insight and technology-led communications agency with global production expertise. **Why we exist**: we create new value At Indicia Worldwide, our philosophy is one of ‘creating new value’. We create new value at every step of the journey that a brand takes to market, by driving an increase in marketing performance...