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Tier-1 employer and metro operations role, but seniority reduces general applicant competition.
Highly specific asset-management reconciliation skills and tools limit cross-industry transferability.
Explicit 10+ years requirement, domain expertise, and mandatory reconciliation tool experience increases filtering stringency.
Lead and manage the Reconciliation team supporting Middle Office and Back Office investment operations, overseeing day-to-day deliverables and client service.
Own service delivery, client communications, issue resolution, and escalation for Cash, Position, and Non-Core reconciliations within SLA.
Drive process excellence, risk management, and operational improvements including change management and reconciliation process reviews.
10+ years of relevant industry experience in asset management operations or related field.
Degree in finance, business, technology or equivalent.
Experience with reconciliation tools such as TLM/TLP and IntelliMatch plus proficiency in manual reconciliation processes.
Must work from office 4 days a week (onsite requirement).
Experienced in investment operations, reconciliations, fund accounting across multiple asset classes including Mutual Funds, Hedge Funds, ETFs, derivatives, fixed income, OTC products.
Strong client-facing experience with ability to manage senior stakeholders and internal/external client communications.
Hands-on manager with ability to drive change management, process improvements, and leverage technology for operational efficiencies.