Open to considering fresher candidates (Yes/No): Yes
Open to considering relocation/ non-local candidates (Yes/No): Yes
Contract duration: 8 Months
Shift timings: EMEA/ APAC
Number of days work from office: 5 days in training period. After that hybrid 3 days office 2 days Work from Home.
Preference of sharing only female candidate (Yes/No): No
Your key responsibilities The Analyst will be responsible for completion of day-to-day activity as per standards and ensure accurate and timely delivery of assigned production duties. He/she needs to ensure team adherence to all cut-off times and quality of processing as maintained in SLAs. Needs to monitor volume inflow and assist in sufficient resource and workflow allocation in a justifiable manner. He/she should ensure that all queries/first level escalations related to routine activities are responded to within the time frame specified. Should take responsibility and act as backup for the team manager in his/her absence and share best practices with the team Functional Skills
Have strong knowledge of Reconciliation process and understand various (ledger and statement) feeds/swifts.
Able to identify the cause and assign the cash/position break to correct team for further investigation & resolution.
Understand the impact of the cash/position breaks and able to connect the dots to find earliest resolution.
Knowledge of Trade Life Cycle of various financial products will be an advantage.
Working knowledge of Aladdin & TLM/DUCO reconciliation tool will be a strong plus
Manage cash reconciliation between Aladdin and the custodian feeds on trade and Currency level.
Identify the cause and assign the cash/position break to correct team for further investigation & resolution.
Perform primary investigation on the cash/position breaks.
Ensure quality/quantity of processing is maintained as per the SLA
Smooth Transition of new processes.
Ensure adequate back-ups created for all critical positions and assist other teams during contingencies (Staff shortage, high volumes etc.).
Escalate all issues in time, to the appropriate level, to avoid any adverse impact on the business
Experience / Exposure
Should have complete knowledge of Cash and Position reconciliation with 2-3 years of experience in the domain in an Investment Banking or Asset Management setup.
Experience in handling client escalations and resolutions in best possible manner
Your skills and experience
Needs to be a self-starter with significant ability to undertake initiatives. Strong interpersonal / good negotiations skills are required. Follow through skills, Effective communication skills, fluency in Microsoft Office skills, ability to confidently handle internal clients, futuristic and innovative approach will be expected.
Ability and willingness to work in night shift is a must.
Experience of working on transition / insourcing of processes.
Experience of working on system testing & migration will be a good advantage.
Experience of working on building & testing macros and other solutions would be good to have.
Education / Certification
Graduates with good academic records.
Any certifications in securities such as NCFM modules, CISI etc will be good but not compulsory.