- Nov 30, 2011
- 47
- Category........
- FSW
- Visa Office......
- Ottawa
- NOC Code......
- 1254
- App. Filed.......
- 14-11-2019
- Doc's Request.
- 29-01-2020
- AOR Received.
- 15-11-2019
Hi,
I have just got hold of my detailed job description. I'll be grateful if anyone can help me in matching it with an appropriate NOC Code. I work at SP Global, a financial services company and have accounting related qualification.
1. Performing straight forward stand alone tasks or high volume transactions within detailed instructions and predefined procedures
2. Entering, editing and managing data in work-tools as per specified guidelines and checklists
3. Creating reports of work performed during the day via reporting tool. The process will also involve extracting, validating and correcting data set errors.
4. Addressing more complex issues that arise. Reviewing and auditing work performed by more junior members of the team staff.
5. Working with other related teams to complete tasks assigned to them and working to ensure quality and performance to set standards with little supervision
6. In case of Corporate Action position, is responsible for the processing, balancing, and reconciliation of position related to mergers, conversion and redemption.
I had previous experience that was directly inline with NOC - 1111. However, for the above JD, I had created my profile with 1112 as we manage investment related data. I see that this is a very serious matter so we need to enter the exact matching NOC. I'll therefore appreciate if anyone of you could guide me here.
I have just got hold of my detailed job description. I'll be grateful if anyone can help me in matching it with an appropriate NOC Code. I work at SP Global, a financial services company and have accounting related qualification.
1. Performing straight forward stand alone tasks or high volume transactions within detailed instructions and predefined procedures
2. Entering, editing and managing data in work-tools as per specified guidelines and checklists
3. Creating reports of work performed during the day via reporting tool. The process will also involve extracting, validating and correcting data set errors.
4. Addressing more complex issues that arise. Reviewing and auditing work performed by more junior members of the team staff.
5. Working with other related teams to complete tasks assigned to them and working to ensure quality and performance to set standards with little supervision
6. In case of Corporate Action position, is responsible for the processing, balancing, and reconciliation of position related to mergers, conversion and redemption.
I had previous experience that was directly inline with NOC - 1111. However, for the above JD, I had created my profile with 1112 as we manage investment related data. I see that this is a very serious matter so we need to enter the exact matching NOC. I'll therefore appreciate if anyone of you could guide me here.