Perform in a high-volume reconciliation environment
Hands on capability on reconciliation tools like ReconArt/Intellimatch/TLM is preferred
Generate ledger entries using bank statements and payout files
Undertake multi-currency Payments & Bank reconciliation across all products and business lines
Create auto-reconciliation rules to maximise system driven reconciliation
Investigate and resolve reconciliation breaks by liaising with various departments
Generate and publish MI reports summarizing status reconciliation, age and ownership of breaks
Work closely with the Finance department on accounting queries and provide relevant information to support month/quarter/year end activities

Keyskills: Banking Bank Reconciliation
Our Client enables communications service providers to capture the full value of connectivity. The company's portfolio spans Networks, Digital Services, Managed Services, and Emerging Business and is designed to help our customers go digital, increase efficiency, find new revenue streams, and create...