About the Role We are seeking a detail-oriented Reconciliation Officer to manage and oversee daily weekly and monthly reconciliations across payment channels and financial systems. This role is critical in ensuring transaction accuracy identifying discrepancies and supporting smooth financial operations within a fast-paced payments environment.
Key Responsibilities
Transaction & Account Reconciliation Perform daily reconciliation of transactions across payment gateways banks wallets and internal systems. Match settlements payouts fees chargebacks and refunds to ensure accuracy and completeness. Identify investigate and resolve reconciliation breaks and variances in a timely manner. Payments & Settlement Monitoring Monitor settlement cycles to ensure funds are received and processed as per agreed timelines. Coordinate with banking partners payment service providers and internal teams on settlement issues. Track pending failed or delayed transactions and follow up for resolution. Reporting & Controls Prepare daily weekly and monthly reconciliation and exception reports. Maintain clear audit trails and supporting documentation for reconciled accounts. Support internal and external audits by providing accurate reconciliation data. Chargebacks & Dispute Support Assist in tracking and reconciling chargebacks reversals and refunds. Coordinate with operations and risk teams to ensure proper recording and resolution of disputes. Monitor trends to help reduce future reconciliation issues. Process Improvement & Compliance Identify gaps in reconciliation processes and recommend improvements or automation. Ensure reconciliation activities comply with internal controls regulatory requirements and accounting standards. Support system enhancements UAT and process testing related to payments and reporting.
Qualifications & Experience Bachelors degree in Accounting Finance Business or a related field. 36 years of experience in reconciliation payments operations or financial operations. Strong understanding of payment flows settlement processes and transaction life cycles. Experience working with payment gateways banks PSPs or FinTech platforms. Advanced proficiency in Excel and financial reporting tools.
Key Competencies & Behaviours Strong attention to detail and numerical accuracy Excellent analytical and problem-solving skills Ability to manage high transaction volumes and tight deadlines Strong communication and coordination abilities Proactive organized and process-driven mindset High level of integrity and confidentiality
What We Offer Opportunity to work in a fast-growing payments and FinTech environment Exposure to complex transaction flows and financial systems Competitive compensation and benefits Career development and long-term growth opportunities
Apply now!
Job Title - Reconciliation Officer About the RoleWe are seeking a detail-oriented Reconciliation Officer to manage and oversee daily weekly and monthly reconciliations across payment channels and financial systems. This role is critical in ensuring transaction accuracy identifying discrepancies and...
Job Title - Reconciliation Officer
About the Role We are seeking a detail-oriented Reconciliation Officer to manage and oversee daily weekly and monthly reconciliations across payment channels and financial systems. This role is critical in ensuring transaction accuracy identifying discrepancies and supporting smooth financial operations within a fast-paced payments environment.
Key Responsibilities
Transaction & Account Reconciliation Perform daily reconciliation of transactions across payment gateways banks wallets and internal systems. Match settlements payouts fees chargebacks and refunds to ensure accuracy and completeness. Identify investigate and resolve reconciliation breaks and variances in a timely manner. Payments & Settlement Monitoring Monitor settlement cycles to ensure funds are received and processed as per agreed timelines. Coordinate with banking partners payment service providers and internal teams on settlement issues. Track pending failed or delayed transactions and follow up for resolution. Reporting & Controls Prepare daily weekly and monthly reconciliation and exception reports. Maintain clear audit trails and supporting documentation for reconciled accounts. Support internal and external audits by providing accurate reconciliation data. Chargebacks & Dispute Support Assist in tracking and reconciling chargebacks reversals and refunds. Coordinate with operations and risk teams to ensure proper recording and resolution of disputes. Monitor trends to help reduce future reconciliation issues. Process Improvement & Compliance Identify gaps in reconciliation processes and recommend improvements or automation. Ensure reconciliation activities comply with internal controls regulatory requirements and accounting standards. Support system enhancements UAT and process testing related to payments and reporting.
Qualifications & Experience Bachelors degree in Accounting Finance Business or a related field. 36 years of experience in reconciliation payments operations or financial operations. Strong understanding of payment flows settlement processes and transaction life cycles. Experience working with payment gateways banks PSPs or FinTech platforms. Advanced proficiency in Excel and financial reporting tools.
Key Competencies & Behaviours Strong attention to detail and numerical accuracy Excellent analytical and problem-solving skills Ability to manage high transaction volumes and tight deadlines Strong communication and coordination abilities Proactive organized and process-driven mindset High level of integrity and confidentiality
What We Offer Opportunity to work in a fast-growing payments and FinTech environment Exposure to complex transaction flows and financial systems Competitive compensation and benefits Career development and long-term growth opportunities