Job Title: Reconciliation Specialist
Job Summary:
We are seeking a detail-oriented and analytical Reconciliation Specialist to handle daily financial reconciliations across payment gateways banks and internal accounting systems. The ideal candidate will ensure accuracy completeness and timeliness of transaction data while supporting smooth financial operations and audit readiness.
This role plays a critical part in maintaining the integrity of financial records in a high-volume transaction environment.
Key Responsibilities
Perform daily weekly and monthly reconciliations of financial transactions between internal systems bank statements and payment partners.
Investigate and resolve discrepancies or variances in payment and settlement data.
Track incoming and outgoing payments chargebacks and refunds across multiple payment channels.
Work closely with Finance Accounting Operations and Tech teams to identify root causes of mismatches.
Maintain accurate documentation of reconciliation processes reports and adjustments.
Support month-end and year-end financial closings by providing accurate reconciliation data.
Prepare reconciliation reports for management highlighting issues trends and process improvements.
Monitor clearing and settlement cycles ensuring all transactions are posted and accounted for correctly.
Assist auditors by providing necessary documentation and explanations of reconciled accounts.
Continuously enhance reconciliation workflows through automation and system improvements.
Ensure compliance with internal controls accounting standards and regulatory requirements.
Qualifications & Skills
Education: Diploma or Bachelors degree in Accounting Finance or related field.
Experience: Minimum 24 years of experience in reconciliation preferably in fintech banking or payments.
Strong understanding of payment flows settlements chargebacks and ledger systems.
Proficient in MS Excel (pivot tables lookups formulas) and reconciliation tools.
Experience working with banking portals ERP systems or accounting software (e.g. Tally Oracle SAP Zoho).
Excellent attention to detail accuracy and organizational skills.
Strong analytical and problem-solving abilities.
Ability to manage large data volumes efficiently.
Effective communication skills and ability to collaborate across departments.
Familiarity with UAE accounting and compliance standards is a plus.
What We Offer
Competitive salary package.
Exposure to fast-paced fintech / payment operations.
Career growth opportunities in finance and operations.
Supportive and collaborative team environment.
Apply now!
Job Title: Reconciliation Specialist Job Summary: We are seeking a detail-oriented and analytical Reconciliation Specialist to handle daily financial reconciliations across payment gateways banks and internal accounting systems. The ideal candidate will ensure accuracy completeness and timeliness of...
Job Title: Reconciliation Specialist
Job Summary:
We are seeking a detail-oriented and analytical Reconciliation Specialist to handle daily financial reconciliations across payment gateways banks and internal accounting systems. The ideal candidate will ensure accuracy completeness and timeliness of transaction data while supporting smooth financial operations and audit readiness.
This role plays a critical part in maintaining the integrity of financial records in a high-volume transaction environment.
Key Responsibilities
Perform daily weekly and monthly reconciliations of financial transactions between internal systems bank statements and payment partners.
Investigate and resolve discrepancies or variances in payment and settlement data.
Track incoming and outgoing payments chargebacks and refunds across multiple payment channels.
Work closely with Finance Accounting Operations and Tech teams to identify root causes of mismatches.
Maintain accurate documentation of reconciliation processes reports and adjustments.
Support month-end and year-end financial closings by providing accurate reconciliation data.
Prepare reconciliation reports for management highlighting issues trends and process improvements.
Monitor clearing and settlement cycles ensuring all transactions are posted and accounted for correctly.
Assist auditors by providing necessary documentation and explanations of reconciled accounts.
Continuously enhance reconciliation workflows through automation and system improvements.
Ensure compliance with internal controls accounting standards and regulatory requirements.
Qualifications & Skills
Education: Diploma or Bachelors degree in Accounting Finance or related field.
Experience: Minimum 24 years of experience in reconciliation preferably in fintech banking or payments.
Strong understanding of payment flows settlements chargebacks and ledger systems.
Proficient in MS Excel (pivot tables lookups formulas) and reconciliation tools.
Experience working with banking portals ERP systems or accounting software (e.g. Tally Oracle SAP Zoho).
Excellent attention to detail accuracy and organizational skills.
Strong analytical and problem-solving abilities.
Ability to manage large data volumes efficiently.
Effective communication skills and ability to collaborate across departments.
Familiarity with UAE accounting and compliance standards is a plus.
What We Offer
Competitive salary package.
Exposure to fast-paced fintech / payment operations.
Career growth opportunities in finance and operations.
Supportive and collaborative team environment.
Apply now!
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