Active listing
Treasury Reconciliation Officer
About the role
Treasury Reconciliation Officer at MUFG Pension & Market Services focuses on cash & stock reconciliation across APAC and EMEA, ensuring regulatory compliance and accurate reporting. The role handles daily reconciliations, exception logging, and MI compilation while collaborating with cross‑functional teams. Based in India, the position requires rotational shifts starting 3:30 AM for APAC and 11:30 AM for EMEA, with a flexible on‑site model.
What you’ll do
- Perform daily reconciliations
- Log exceptions and raise escalations
- Maintain control sheets
- Compile daily and monthly MI
- Ensure compliance with CASS requirements
- Support cross‑functional teams
- Adhere to SLA
- Provide superior service
What you’ll bring
- Financial reconciliation
- Accounting
- Microsoft Office
- Communication
- Attention to detail
- Time management
- Teamwork
- Problem solving
Nice to have
- 0-3 years experience in financial or capital markets reconciliation
- Bachelor's or master's in business, finance or banking
- Working knowledge of Microsoft Office
Education
Bachelor's