I am having trouble identify my NOC code, not sure if it fits the 12200. My job role include below:
- Responsible for the journey entries posting and trades settlement.
- Analyzing and rectifying daily reconciliation discrepancies across multiple currencies.
- Posting daily adjustment and weekly revenue journey entries.
- Balancing and reconciling Foreign Floats using trial balance.
- Verifying and releasing payments to clients across multiple projects.
- Managing a high volume of client disputes related to Global Money Transfers through an online portal (GOW) and email.
- Liaising with internal and external business partners to obtain and provide information to resolve any issues.