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Reconciliations Officer (Project-Based)

Job Overview

Daily Tasks & Responsibilities

  • Oversee the end-to-end processing of trades and payments, including support of clients facilitated via API

  • Create and manage payment and beneficiary files with LP, including overseeing reconciliation of payment releases, failed payments, and reattempts, ensuring visibility and accurate reporting.

  • Receive API txt files and ingest them into the Excel dashboard for processing. Ensure accurate reconciliation of payments to trades, funding, and reconciliation of beneficiary details

  • Manage funds between Liquidity Providers (LPs) and handle small float management.

  • Oversee the correct housing of monies for payment releases and manage the balancing of bank and LP accounts to ensure proper cash flow.

  • Reconcile payments to trades, manage funding, and create payment and beneficiary files, ensuring accuracy and compliance with reporting standards.

  • Handle and resolve support tickets and queries, including funding and receipt requests, payment reattempts, and other queries, providing prompt resolutions.

Skills Required

  • Highly analytical

  • Great attention to detail

  • Fast learner

  • Strong excel experience

  • Experience with FX/Banking/Payments would be an advantage but not mandatory

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