•Working with Client Asset Reconciliations team, a part of Banking, Reconciliations & Control (BRC) which is responsible for the reconciliation of client assets within the regulatory timeframe
•Playing a key role in delivery of month end and financial year ends from a reconciliations perspective.
•The responsibility of ensuring that asset recs are completed timely and accurately, identify and resolve potential client asset breaches - work towards Zero tolerance on client asset breaches, timely escalation of any high risk variances, coordinate with teams and third party.