Reconciliation Officer
KCB BANK
Dar es Salaam, Tanzania
Full-Time
17th April 2019
Key Responsibilities:
- Ensure all assigned Nostro accounts are reconciled on a daily basis with proper details of all outstanding transaction narrated.
- Conduct a periodic reconciliation of assigned GL suspense and ensure proper details narrated for outstanding entries.
- Follow up of timely clearance of outstanding transactions within 7 days.
- Ensure reconciliation statements are countersigned by supervisors.
- Produce periodical reports to the management on status of reconciliations.
- Verify the genuineness of outstanding transactions by requesting copies of vouchers of relatively large amounts.
- Monitor movements for assigned GL suspense accounts and request clarifications from an originator of the transaction.
- Any other duties that may be assigned from time to time by your supervisor.
- Maintenance of Bank assets register for assigned categories and ensuring balances agree with GL.
Daily Responsibilities:
- Check outstanding entries in Nostro accounts that relate to operations i.e. swift, trade, and clearing.
- Reconcile the assigned GL internal accounts
- Raise queries on long outstanding items
- Prepare a required summary of outstanding items
Challenges:
- Failure by branches and Head Office units to respond to queries