Retail Banking
* Responsible for reconciling various accounts using TLM tool and ensuring compliance.* Supporting day to day production activities like manual upload, Closing Balance, Manual auto match initiation using TLM platform.* Resolving outstanding breaks and issues in the reconciliation process through an efficient way of following ups and escalation as per SLA.* Preparing and tracking monthly balance sheet submission and Financial Control Submission reports with 100% accuracy.* Performing UAT and UVT using the latest version of TLM-3.1 ( Transaction Life cycle Management )and FCAPP ( Financial Control Application) before implementing in the production environment.* Working on various automation projects, whereby increasing auto match configuration and auto coding which indeed delivered productivity improvement by JIRA.