1. Working in teams that handle pre/post settlement support, inter system reconciliation, document risk review, reference data management and portfolio reconciliations. 2. Cataloging (categorizing) contracts and deals of derivative trades 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. 6. Working days: Monday to Friday. 7. Shift timings : 6am to 3pm ; 1pm to 10 pm ; 7pm to 4am 8. No night shift for female candidates. 9. Candidates should be willing to sign a training agreement of 12 months. 10. Candidates with pending backlogs are not eligible.