At BNY Mellon, I support APAC Corporate Trust operations and payment lifecycle activities across Australia, Singapore, Hong Kong, and Sydney. I process and validate cross-border payment requests, including RTGS, DE, NPP, OTT, and FX-related transactions.
I reconcile corporate trust payments and tax transactions, investigate discrepancies, and support timely resolution. I also validate tax data, vouchers, and supporting records for tax reclaim processing.
I prepare and validate MT566 SWIFT messages, pacs 008, and DTCC reports, and check funding and payment details across banking platforms. When recurring exceptions arise, I conduct root-cause analysis and implement corrective actions to reduce operational risk.
Previously, as a Financial Analyst at eClerx Services Ltd., I supported Corporate Action activities, reconciled settlements and receipts, and investigated unmatched transactions. I also prepared MIS and reconciliation reports and maintained audit and compliance documentation.

