职位描述
Job Summary Perform daily GL proofing and Reconciliation for banking and cards products. Provide client service support to various countries Job Description Handle daily credit cards, banking product and Acquirer General Ledger proofing and reconciliation. Perform monthly proofing in eRecon as Proof owner. Ensure all outstanding items are being followed up and cleared according to the process guide. Ensure accuracy and integrity of the GL proofing. Compilation of aging data for daily and monthly MIS. Work closely with country support, provide and maintain excellent client service to country. Perform daily control function check list. Provide support during Country holiday. Job Skills/Qualifications paragraph Basic Financial accounting knowledge for banking, credit card. Meticulous, work independently with multi tasking and is a team player. Good working attitude with leadership and analytical skills. Able to operate Microsoft office (especially excel). Able to converse in English