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Dealing with Payment services and transactions processing business. Ensuring closure of daily, weekly, monthly and annual reconciliation process for financial transactions. Extraction of network data into client specific information. Understand and translate internal & external client requirements. Able to layout and documents requirements for IT team for task automation, test and accept developed solutions and fully implement. Identify/enhance reporting requirements, layout specifications and point out sources of information and get these implemented. Adherence to team and external reporting guidelines. Education: BBA, BS or Relevant Professional Financial Qualification Experience: Fresh to 2 Years Good mathematical skills. Passion for working wi...
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