At ICICI Bank Canada, I support members and clients with account servicing and banking transactions, while investigating discrepancies and reconciling account activity.
At BARCLAYS, I supported daily P&L and financial reporting for structured rates and fixed-income businesses. I reconciled trading systems with the general ledger and investigated valuation and reporting exceptions.
At INVESCO, I assisted in preparing client investment reports and conducted independent price verification and data reconciliation. I also supported investment inquiries and maintained client account data.

