Detailed-oriented finance professional with expertise in transaction processing, reconciliation, and process improvement. Seeking to leverage skills in accuracy, problem-solving, and financial analysis in a Nostro Stock Reconciliation Specialist role.
Mail Management: Spearhead the management of incoming mail containing checks and remittance documents, ensuring accurate and timely deposit of payments.
Data Entry and Verification: Execute precise data entry of payment information, maintaining consistency and correctness through diligent verification and reconciliation.
Reconciliation Efforts: Lead reconciliation efforts by matching checks and invoices, resolving discrepancies to ensure alignment and accuracy.
Quality Control: Conduct thorough quality control checks on transactions, ensuring compliance with company policies and regulatory standards.
Process Improvement: Drive process improvements to enhance operational efficiency and accuracy, demonstrating a keen eye for detail and process orientation.
Developing analytical and problem-solving skills with a strong attention to detail
Proficient in financial reconciliation and transaction processing
Developing communication and interpersonal skills for effective collaboration with internal and external stakeholders
Basic Knowledge of Microsoft Excel and Financial Software systems with a strong willingness to learn and develop proficiency
Ability to work under pressure and meet tight deadlines
Eager to gain familiarity with banking operations and financial regulations through training and hands-on experience