Flexible Work, Better Balance
The Senior Reconciliation Specialist (Levelβ―6) performs as a reconciler and a reviewer/solver. As a reconciler, the specialist is responsible for daily cash and transaction reconciliations between internal books and the custodian, providing treasury with opening balance adjustments, and completing daily holdings reconciliations between internal and external records. The role also involves daily reporting of discrepancies to securities accounting and treasury, and as a backup reviewer/solver, the specialist reviews daily cash balances and transactions and signs off on reconciliations.