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Tier-1 brand but senior, niche reconciliation role limits applicant density, resulting in medium competition.
High because deep asset-management reconciliation and middle/back-office expertise is required and not easily transferable.
High due to explicit 15+ years, niche asset-management reconciliation expertise, and required reconciliation tool proficiency.
Manage day-to-day operations of the Reconciliation management team supporting Middle and Back Office services.
Drive reconciliation process excellence and oversee exception lifecycle management to meet SLAs and maintain service delivery.
Act as primary client contact for internal/external stakeholders, ensuring timely issue resolution and ongoing client communication.
15+ years relevant industry experience in asset management or investment operations.
Degree in finance, business, technology, or equivalent.
Experience with reconciliation tools such as TLP/IntelliMatch and manual reconciliation processes.
Must work from office 4 days a week.
Strong background in asset management operations, including reconciliations, fund accounting, and multiple asset classes (derivatives, fixed income, etc.).
Proven experience managing teams and client relationships at senior levels in a fast-paced environment.
Familiarity with investment management technology and change management, with advantage in SQL, Python, or low-code tools.