4400436
Summary
Perform weekly financial reconciliations between systems and handle customer service queries for a financial services company using MS Excel.
1.Reconcile all ARC transactions between IAR and GMAX and ensure the submission of all IATAs weekly every Tuesday.
2. Respond to US branches and CSO queries on calls and emails and work on void requests sent on emails in a timely manner.
3. Good knowledge of MS Excel
4. Ensure timeliness and 100% accuracy in work.
5. Contribute towards enhancing internal and external customer relationships.
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