01Key Responsibilities
Reconciliation, dispute handling, data loading, and data validation checks.
Follow up with the bank or internal team for any issue in raw data files.
Processing of Reconciliation.
Generating and checking recon/unrecon.
Providing posting files/NPCI files.
Dispute Handling (INW/OUTW).
Should have basic knowledge in Visa/NFS/Mastercard/GL reconciliation experience.
Subscription, redemption, confirming trial balance, and ledgers tie - up with various sub-ledgers.
Compensation: 350,000.00 - 650,000.00 per year
Advantages:
- Health insurance
- Provident Fund
Work Location: In person .