Associate, Cash Reconciliation (Afternoon Shift)

09 Oct 2025
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The Associate will operate and oversee reconciliation and review technology to deliver a full reconciled cash ledger to client operations teams as well as other agreed services which may be required in the future in the growth of the team.The Associate will have a strong understanding of the structures and types of products within a private investment fund as well as strong accounting knowledge for the double entry and booking of transactions through the accounting system. Ideally the candidate will be a self-starter and also have a keen interest in learning new technologies and skills.Ensure client transaction processing is complete, booked correctly & back up evidence is accurate.Review reconciliations prepared by other members of the team where necessary to maintain flow of workloads and coverage across the wider team.Operate and oversee in-house reconciliation technology as well as being involved in internal discussions for improvements and automations.Ensure to engage in suggesting ideas and efficiency improvements to the process framework.Liaise with other Investor and Client delivery teams within MFS in other locations.Ensure accuracy at all times and ensure SLA deadlines are met and strictly adhered to.Support the new account migration processes.Involvement in projects and managing change.Oversight of reconciliation and data transmission technology.Escalate issues appropriately as and when needed.

  • ID: #54631491
  • State: Territories Kualalumpur 00000 Kualalumpur USA
  • City: Kualalumpur
  • Salary: USD TBD TBD
  • Job type: Full-time
  • Showed: 2025-10-09
  • Deadline: 2025-12-08
  • Category: Et cetera
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