





High — strong employer brand, Mumbai metro, and visible operations analyst role attract many qualified applicants.
High — requires domain-specific cash reconciliation, derivatives and asset-management process knowledge limiting cross-industry transferability.
Medium — domain knowledge, reconciliation skills and tooling preferred but no strict years requirement specified.
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Manage daily cash reconciliations and ensure alignment between investment book of record and external prime record holders.
Investigate and resolve discrepancy exceptions timely to ensure accuracy of published cash positions.
Develop process improvements including automation, maintain documentation, and support team control mechanisms and reporting.
Bachelor’s degree (preferably in Accounting, Finance, Business, or Economics).
Experience with financial instruments including derivatives preferred but not mandatory.
Analytical skills with some data analytics or coding knowledge (VBA, SQL, Python) preferred.
Work Experience Required: Not explicitly mentioned in the JD.
Detail-oriented with ability to manage multiple priorities and maintain high accuracy in cash position reconciliations.
Strong in problem-solving and communication to engage with internal/external stakeholders and senior management effectively.
Capable of improving processes via automation/standardization and maintaining robust control documentation in a fast-paced environment.