





Tier-1 bank, metro location, and broad analyst role increase competition.
High—banking reconciliation and controls are industry-specific and not easily transferable.
Moderate filters for banking reconciliation, controls, and stakeholder experience.
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Manage reconciliation and financial reporting for Corporate Banking Operations, ensuring adherence to governance and control standards.
Support technology enhancements and core banking system upgrades, including UAT preparation, execution monitoring, and process documentation.
Prepare and circulate MIS reports to stakeholders and proactively resolve outstanding issues ensuring accuracy and timeliness of deliverables.
Strong accounting knowledge.
Sound knowledge of banking processes and banking applications.
Work Experience Required: Not explicitly mentioned in the JD.
Job Location: Mumbai.
Experience with reconciliation governance and financial reporting in a banking environment.
Demonstrated ability to manage multiple deliverables under tight deadlines with accuracy and control compliance.
Comfortable collaborating with multiple stakeholders, managing escalations, and supporting system enhancements including UAT activities.