Sai Kambre
Reconciliation Specialist @DBS Bank
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WORK HISTORY
Reconciliation Specialist @DBS Bank
IN
1.Conducting monthly reconciliation of the specific workgroup (GLAO) for CASA and TD products and reporting the breaks if any to the higher management.2.Collaborating with the tech team for the graphs/inputs for the testing of the UAT as a part of automation.3.Performing one of the critical reconciliations which is RBI Nostro balances with the Bank GL entries along with the other reconciliations like UPI, IMPS, ATM, Nuclie, Collection, Factoring Clearing, URC, CCIL, Treds, TCS Tax Collected Source, Input GST, Output GST, Razor pay etc.4.Identifying, analyzing and reporting the ageing entries to the respective teams and reporting the weekly breaks/ageing entries to the management.5.Controlling and managing risk if any by timely following up with the respective team heads for the TTR and reason for the ageing entries/wrong entries.
EDUCATION
University of Mumbai
Post Graduate Diploma In Financial Management
University of Mumbai
Bachelor of Commerce - BCom
ABOUT SAI KAMBRE
Operations
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