Financial Reconciliation Analyst
Zenith Bank PLC
Reconcile Mastercard payable accounts and related GL accounts daily; monitor settlement of On‑Us and Remote‑On‑Us transactions; identify and follow up undebited cardholder transactions; monitor CSP postings and resolve settlement entries; investigate clearing, settlement and reconciliation exceptions; support financial reporting and account balancing; assisted in recovery of over $752,000 from transaction exceptions; supported deployment of reconciliation tools to improve operational efficiency.