Specialist - Bank Reconciliation
Job Description
Key Responsibilities:
\n • Building a good relationship with banks.
\n • Conduct Bank Reconciliation, including identifying and resolving discrepancies.
\n • Oversee daily cash positioning activities, including managing daily liquidity and ensuring sufficient funds are available to meet ongoing operational.
\n • Proceed transactions including deposit, withdrawal and transfer, and cash pooling.
\n • Ensuring accurate and up-to-date account information and preparing a report, including providing insights and recommendations.
\n • Proficient in banking software and skilled in analytics tools like Excel.
\n • Post interest accruals for the interest earned.
\n • Maintain accounts records to ensure the collection of FDs are applied accurately, and the booking of Bank Interest is timely.
\n • Perform day-to-day financial transactions, including verifying, classifying, computing, posting, and recording banking data
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