Provide daily coverage on the Reconciliation desk, supporting the team with Market Openings, Broker onboarding and New Account setups
Ensure that any potential risk to the business is acted upon in a prompt and informed manner
Ensure that account information is accurate in the systems and on daily/weekly/monthly reports via timely reconciliations between system and external data sources
Participate in the review of processes to improve efficiencies, reduce cost, and mitigate risks
Participate in the testing and implementation of operational enhancements
Ensure deadlines are met and appropriate escalations are in place
Adhere to departmental and company policies and procedures, ensuring compliance
Provide support to interdepartmental staff as required
Actively participate in team learning, development and team performance activities including team meetings and coaching ...