Job Title:
Cash Operations Specialist
Company: Quess IT Staffing
Location: Pune, Maharashtra
Created: 2025-12-06
Job Type: Full Time
Job Description:
We Are Hiring: Cash Operations SpecialistContract-to-Hire | Payroll: Quess | Location: Pune (5 Days WFO)Shift: 2:30 PM – 11:30 PM ISTContract: 12 Months (Conversion possible after 6 months)⏳ Notice Period: Immediate to 10 DaysAbout the RoleWe are looking for an experienced Technical Coordinator to join the Cash Book of Records (CBOR) team. The role involves supporting onboarding for Available Cash Reporting (ACR), driving Intraday Liquidity activities, ensuring operational control, and delivering accurate reconciliation outcomes.This is a hands-on role requiring strong domain knowledge, excellent communication, and the ability to guide team members.Key Responsibilities- Support Team Lead in daily operations & control activities - Perform production tasks with high accuracy and four-eye reviews - Manage end-to-end reconciliation & transaction matching - Maintain process documentation and provide timely MIS reporting - Mentor team members as a domain SME - Analyze client onboarding requirements & perform pre-balance checks - Identify process gaps and contribute to operational improvements - Manage risks, escalate issues, and maintain a robust control environmentMandatory Skills (Shortlisting Criteria)Candidates must have hands-on experience in:1️⃣ Cash Operations Domain- Cash products, settlements & intraday liquidity - Cash availability reporting (ACR)2️⃣ Reconciliation (RECON)- Strong end-to-end reconciliation knowledge - TLM Reconciliation experience (highly preferred)3️⃣ SWIFT Message ExpertiseClear understanding of:- MT103, MT202, MT210, MT900, MT9104️⃣ Nostro/Vostro Accounts- Purpose, flow, and role in cash operations & reconciliation5️⃣ Communication Skills- Ability to clearly articulate concepts (STRICT requirement)6️⃣ Relevant Experience Alignment- Financial Services, Capital Markets, or Cash Operations background⭐ Good to Have- Exposure to Client Onboarding - Knowledge of Liquidity Management tools - Understanding of break analysis & cash forecasting