Financial Software Systems walk-in for Banking Reconciliation
Company :
Financial Software Systems Pvt. Ltd.
Website :
Job Role :
Banking Reconciliation
Eligibility :
Any Graduate
Experience :
1 - 6 Years
Job Location :
Mumbai
Walk-In Date :
21 & 22 Aug 2018
Walk-In Time :
10:00 AM - 03:00 PM

Company Profile:

Financial Software and Systems (FSS) is a global leader in payments technology and transaction processing, offering business value in the areas of electronic payments and financial transaction processing solutions & services. The company has earned the status of being a payments systems leader through a combination of established portfolio of technology solutions, state-of-the-art infrastructure and 24 years of experience in the payments domain. Headquartered in Mumbai, India, FSS has established a global footprint in Australia, Canada, Europe, Middle East, Singapore and the United States of America.

Job Description:

Dispute Management Process - ATM & POS transactions - Issuing & Acquiring.
Knowledge of NPCI/RBI TATs for dispute management along with VISA & MasterCard rules and regulations.
Knowledge of ATM Cash Tally & EJ Error codes.
To ensure that Recovery details are submitted to CRAs/MSPs/Banks with reference to disputed transactions as well as EJ not available cases & zero liability is kept on Recon Operations.
To ensure that action is taken on un reconciled ATM/POS transactions on a daily basis leading to further debit & credits to customer accounts OR Vendor Account.
To ensure that daily follow-up with concern vendor OR branch for JP wherever EJ not available & resolve the dispute within TAT.
To ensure that submission of daily, weekly and monthly status of MIS OR reports are shared internally.
Timely escalation of issues with concern Bank Team OR FSS Internal Teams.
Backup for Cash Tally as well as Dispute resolution process.
Make sure that all UAT reports are submitted to Bank & confirmation is taken on the same.
Working knowledge of Microsoft Office, excel formulas, emails etc.
By ensuring that service deliverables are met operationally basis which ensuring that penalties if any are no more than 1 % of the annual billing for Bank.
To ensure that submission of monthly status and statistical reports to reporting head and Bank.
To ensure that submission of monthly status and statistical reports to reporting head and Bank.
To ensure that services are delivered in line with the SLA agreed with Bank.
Must have team handling experience for Asst. Manager or Manager role.

Skills:

Banking Reconciliation, ATM Recon, Chargeback, Cash tally, Good Communication Skills(English), Good Customer Interaction.

Desired Profile:

Security roles and responsibilities shall include the requirements to:

Implement and act in accordance with the organizations information security policies.
Protect assets from unauthorized access, disclosure, modification, destruction or interference.
Execute particular security processes or activities.
Ensure responsibility is assigned to the individual for actions taken.
Report security events or potential events or other security risks to the organization.

Documents to Carry:

Hard copy of the resume.
Last three months pay slip.
Increment or offer letter from current employer.
2 Passport Size Photo.

Venue Details:

Financial Software & Systems (P) Ltd.,
1st floor and 2nd floor, Kalpataru Prime IT Park,
Plot no. D3, Road no.16, Ambika Nagar,
Wagle Industrial Estate, Thane (West), Mumbai - 400604.

Contact Person:

Hemangi & Rahul Tyagi