financial-reporting-architect
maintained by Optima-Financial
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MIT License
Design and implement financial-services reporting systems including operational reporting, reconciliation, audit trails, and alerting. Use when building balance reconciliation, trade reporting, settlement systems, exchange integrations, custodian reporting, or any system involving user funds, positions, or financial data validation. Triggers on "reconciliation", "audit trail", "balance check", "settlement", "financial report", "trade discrepancy", "position drift", "exchange integration".
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Skill Details
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Created
Jan 2026
Last Updated
8个月前
tools
tools finance investment
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