The job holder will be responsible for monitoring and reviewing the team as well as investigating, resolving and escalating any variances in the reconciliations bank, cash in-transit, control and accounts receivable reconciliations
They will use their knowledge of business and processes to resolve variances through contacting internal and external stakeholders including Banks
The role will report into the AVP and will manage a team of c. 20-30+ FTE
Responsible for the teams service delivery within reconciliations
Partner with GL team in ensuring continuous updates to weekly recs dashboards
Be a the single point of contact with senior business external stakeholders
Assure timely clearance of queries from business owners and customers.
Ensure items are being escalated to senior management for high value outstanding
Lead team meetings and provide updates to the AVP and team
Identify and implement process improvements and efficiencies.
Examining variances via reconciliation system or coda or TLM
Contact branch/3rd party/ team to resolve variances
MBA with 10-12 years of experience or Inter CA/CWA with 8-10 years of experience in Bank Reconciliation/Fund Reconciliation/Balance Sheet Reconciliation.
Experience of working in fast paced / Global finance department. Prior experience working in shared service environment with an on/offshore presence is preferred.
Should have managed a team of 20+ FTE for over 2 years