Creative and dedicated professional with 2 year of experience in the BFSI industry. Eager to seize new opportunities and expand expertise across various career domains. Known for innovative thinking and strong support skills, thrives on driving organizational growth and fostering a culture of creativity. Seeking a challenging role to leverage interpersonal and professional skills to fullest potential wh ile contributing to organizational success.
Reconciliation is the key process used to determine whether the money received from Bank matches the remittance received from the customer, ensuring the two values are balanced at the end of the application process.Performed regular bank, vendor, and customer account reconciliations to ensure accurate financial reporting and timely issue resolution.Identified and resolved discrepancies between general ledger and external statements, ensuring compliance with internal policies and accounting standards. Maintained and updated reconciliation schedules, supporting documentation, and audit trails for monthly and year-end close processes.Collaborated with cross-functional teams including Accounts Payable, Accounts Receivable to investigate and clear unmatched items.I have learned to handle Channel mfu consolidation, monitering batching process, statement downloading, matching process for (ICICI, sbi, indus,idfc,yes,kotak,scboa,dbps,hdfcc,hdfcw)