





Tier-1 brand, common analyst title, and Mumbai metro increase competition significantly.
Cash reconciliation and derivatives focus limit cross-industry transferability.
Preferred finance and analytics skills without explicit years create moderate screening.
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Manage daily risk and exposure by ensuring the investment book of record is reconciled with external prime record holders.
Handle cash and asset position exceptions by researching and resolving discrepancies promptly and accurately.
Drive process improvements, including automation and data analysis, to enhance reconciliation accuracy and operational efficiency.
Bachelor’s degree; preference for Accounting, Finance, Business, or Economics.
Experience in cash operations or financial reconciliation roles: Not explicitly mentioned in the JD.
Understanding of financial instruments, especially derivatives, is preferred.
Ability to work at least 4 days per week in office as part of a hybrid work model.
Strong analytical and problem-solving skills with ability to troubleshoot and lead exception management.
Experience or skills in data analytics and coding (VBA, SQL, Python) to support process improvements.
Proven ability to communicate complex issues effectively with internal and external stakeholders including senior management.