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Tier-1 brand, metro location, and a mid-level generalist operations title increase candidate competition.
Role combines finance-specific reconciliation expertise with technical automation skills, making cross-industry fit moderately sensitive.
Mandatory Xceptor expertise and capital-markets operations knowledge drive moderate candidate filtering.
Manage and support lifecycle tasks for institutional trade initiatives including client onboarding, cash payment monitoring, funding, and reconciliation operations.
Design, develop, and maintain automated reconciliation solutions using Xceptor and other tools, supporting onboarding, issue resolution, and audit compliance.
Drive process improvements and collaborate with Operations, Technology, and Business teams to resolve complex issues and support project delivery and production support.
Strong hands-on experience in Xceptor development and support for reconciliation workflows and exception management.
Understanding of Capital Markets/CIB Operations and reconciliation processes.
Work Experience Required: Not explicitly mentioned in the JD.
Excellent verbal and written communication skills and ability to work with Business, Operations, and Technology partners.
Experienced with Xceptor and capable of building complex automated reconciliation and exception management workflows.
Operationally focused with knowledge of trade lifecycle, financial market products, and compliance or risk management frameworks.
Comfortable supporting global business requirements across APAC, EMEA, and US regions and collaborating across multiple teams in a high-demand environment.