Reconciliation Specialist

 

Job Description

Our client is a successful brokers based in the west end. An opportunity has arisen for a highly skilled person with extensive reconciliation experience for a 3 month period.

Key responsibilities include:

1. Excel Proficiency: Advanced skills, including formulas and macros.
2. Monthly Broker Reconciliation: Compile Traders' monthly blotter data and broker invoices into Excel.
3. Analysis: Investigate discrepancies in reconciliations, provide commentary, and identify trade/brokerage differences.
4. Payment File Management: Weekly update of broker invoices for payment, ensuring accuracy and completeness of records.
5. Query Resolution: Proactively manage and follow up on open queries with Traders/Brokers.
6. Backlog Clearance: Focus on reconciling broker invoices from June 2022 to August 2023.
7. Communication: Must have excellent attention to detail and confidence in dealing with Traders and Brokers.

**Key Requirement**:
- Strong expertise in Excel (macros and formulas essential).
- Previous experience in a Trading or Broking company is an advantage.

**Work Arrangement**:
- Office-based, 5 days a week.
- Working hours: 8 AM to 6 PM

This role is perfect for someone who excels in a fast-paced environment and is adept at handling complex financial data.

Apply now to to be considered for this role

PLEASE SEE OUR PRIVACY STATEMENT

 

Consultant Details

Maz Matin

Maz Matin

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Consultant
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+44 207 199 6262

Job Summary

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Kensington
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Temporary
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Ref ID: MM1030
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12/01/2024
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£0 - £0

Apply now