The role involves performing daily, weekly, and monthly reconciliations of financial accounts for all Operations Centers, subsidiaries, and overseas branches supported by the CoE
Job Summary
The role involves performing daily, weekly, and monthly reconciliations of financial accounts for all Operations Centers, subsidiaries, and overseas branches supported by the CoE.
Candidates will be responsible for investigating root causes of discrepancies, implementing corrective actions, and ensuring adherence to the bank's Risk & Control framework.
This position offers an opportunity to join a dynamic pioneer team at UOB Innovation Hub 2, delivering trusted financial solutions and gaining regional business exposure.
Matching Summary
The role involves performing daily, weekly, and monthly reconciliations of financial accounts for all Operations Centers, subsidiaries, and overseas branches supported by the CoE.
Skills & Requirements
Must-have
Daily weekly monthly financial reconciliations
Investigate and resolve transaction discrepancies
Maintain detailed accurate reconciliation records
Ensure compliance with internal controls policies
Support audits and regulatory reviews
Nice-to-have
Strong interpersonal and communication skills
Ability to work effectively under pressure
Self-driven and meticulous approach
Good analytical and problem-solving skills
Experience in rapid changing environments
Key Requirements
Bachelor's degree holder
Previous experience in Banking & Financial services industry preferred
Knowledge of operational risk management and financial regulations