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Key Responsibilities: - Experience 2 4 years - Perform daily reconciliation of cash and securities positions between bank systems and custodian books - Identify and investigate reconciliation breaks ensuring timely resolution - Liaise with custodians internal teams and stakeholders to resolve discrepancies - Monitor aged breaks and escalate unresolved issues as per defined procedures - Ensure adherence to reconciliation controls policies and regulatory requirements - Maintain accurate documentation and audit trails for all reconciliation activities - Support process improvements and automation initiatives to enhance efficiency Preferred Skills: Capital Market->Capital Market Operations .