Securities Division Operations - Margin, Collateral & Valuation Ops - Portfolio Reconciliation & Valuations - Analyst/Associate

Hi guys! I have an interview coming up for a portfolio reconciliation & valuation position at GS, and I wanted to get some tips and advice. I wonder if anyone here knows this role well? I have worked as a fund accounting analyst before and i think this a similar role, but it was for a small local bank. Would my experience there be applicable for GS? I also interned at citigroup as a technology operations analyst... should try to leverage this experience with citi more than my experience with the small bank? Any general advice will be welcome. Thank you

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