1. Working in teams that handle pre/post disbursement support, inter system reconciliation, document risk review , reference data management and portfolio reconciliations. 2. Cataloging (categorizing) contracts of our clients. 3. Capturing data from client systems and online faxes to our system. 4. Processing the captured deals and contracts. 5. Reconciliation reports, preparation of reports using MS Excel, auditing
2. Cataloging (categorizing) contracts of our clients. 3. Capturing data from client systems and online faxes to our system. 4. Processing the captured deals and contracts. 5. Reconciliation reports, preparation of reports using MS Excel, auditing
3. Capturing data from client systems and online faxes to our system. 4. Processing the captured deals and contracts. 5. Reconciliation reports, preparation of reports using MS Excel, auditing
4. Processing the captured deals and contracts. 5. Reconciliation reports, preparation of reports using MS Excel, auditing
5. Reconciliation reports, preparation of reports using MS Excel, auditing