Freedom24

Reconciliation Officer

🇨🇾 Limassol, Chypre Sur site Temps plein Publié Mai 22, 2026
Mode de travail Sur site
Contrat Temps plein
Langue English
Publié 22 mai 2026
Dernière vérification 30 mai 2026
Contexte JobGrid

Résumé du poste par JobGrid

Reconciliation Officer at Freedom24: Limassol, Chypre; Sur site; Temps plein. 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, Chypre, Sur site
  • Role classification: Temps plein
  • 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.