Vacancy Description
Responsibilities:
- Manage daily cash reconciliations for complex accounts, ensuring discrepancies are promptly investigated and resolved
- Review reconciliation reports to ensure accuracy and compliance with internal controls
- Serve as the first point of contact for escalations related to reconciliation issues, coordinating with the Manager for resolution when necessary
- Assist in the transition of cash reconciliation activities to the NA-based team, including providing guidance on knowledge transfer and process documentation
- Collaborate with cross-functional teams to support efficiency improvements and process standardization across the reconciliation function
- Ensure adherence to KPIs and SLAs, providing feedback to Officers and making recommendations for process enhancements
- Participate in process improvement initiatives aimed at reducing reconciliation errors and improving cycle times
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