Freedom24

Reconciliation Officer

🇨🇾 Limassol, Zypern Vor Ort Vollzeit Veröffentlicht Mai 22, 2026
Standort Limassol, Zypern
Arbeitsort Vor Ort
Anstellung Vollzeit
Sprache English
Veröffentlicht 22. Mai 2026
Zuletzt geprüft 30. Mai 2026
JobGrid-Kontext

Rollenübersicht von JobGrid

Reconciliation Officer at Freedom24: Limassol, Zypern; Vor Ort; Vollzeit. JobGrid adds normalized role facts, source context, and a path to the employer application page so candidates can compare the listing before applying.

  • Location and workplace: Limassol, Zypern, Vor Ort
  • Role classification: Vollzeit
  • Source freshness: checked by JobGrid on 2026-05-30.
  • Application path: candidates continue to the employer application page with non-personal referral tags.

Freedom24 is a trusted online broker with expertise in the US, European and Asian stock markets, registered in Cyprus, and offers a broad range of services in the financial markets.

Freedom team is a union of high qualified professionals on the market, bursting with vibrant energy and pioneer ideas. All of us are goal-oriented with a strong belief in teamwork power built on the strength of each of us. We work in a high paced environment and within cross-functional teams.

If you feel like you’re a good fit for us and we are a good fit for you, go ahead and check this position out.

  • Daily reconciliation of money, trades, positions, and quotes for brokers and custodians;
  • Monitoring and resolving discrepancies related to bank payments, PSPs, and reconciliation breaks;
  • Maintaining registers of unsettled trades, suspense accounts, and cash in transit;
  • Uploading and processing reconciliation data, bank statements, and broker/custodian reports in Tradernet and reconciliation systems;
  • Managing technical, dividend, commission accrual, and common accounts;
  • Preparing daily and monthly reconciliation reports, including Clients Funds Reconciliation (CFR);
  • Parsing broker reports and uploading transactions to the Reconciliation Server;
  • Supporting account management activities, including account setup and balance recalculations;
  • Maintaining reconciliation scripts, parsers, Excel files, and process improvements;
  • Collaborating with billing, treasury, securities operations, audit, and other departments to investigate and resolve reconciliation issues.