What You'll Do
Oversee and refine automated reconciliation processes using Simetrik, integrating data from bank feeds, payment gateways, and internal systems to ensure consistency and reliability. Investigate and resolve transaction mismatches, ensuring all financial records align with actual cash movements.
Ensure reconciliation outputs support audit readiness, including compliance with standards such as SOC and Basel. Monitor fees charged by payment processors and acquirers to safeguard revenue and prevent leakage. Deliver clear reporting and dashboards that track cash flow across currencies and payment methods.
Partner with Finance, Payments, Risk, and external vendors to maintain seamless end-to-end operations. Proactively identify areas for automation, standardization, and process improvements within the payment reconciliation lifecycle.
Requirements
- Minimum of three years in payment operations, reconciliation, or fintech operations
- Proven experience configuring and managing reconciliation workflows in Simetrik, including rules, matching logic, and data mappings
- Advanced proficiency in Excel, including complex formulas, pivot tables, and data modeling
- Strong grasp of payment systems, including acquiring, card networks, gateways, and settlement cycles
- Highly analytical with meticulous attention to detail
- Ability to manage multiple reconciliation streams independently and efficiently
Preferred Qualifications
- Familiarity with SQL or tools for handling large-scale datasets
- Background in regulated financial environments
- Exposure to audit procedures or compliance frameworks
- Experience working with distributed or cross-functional teams
Benefits
- Fully remote work environment with global flexibility
- Strategic role within a culture focused on engineering excellence
- Opportunities for professional growth and leadership development
- Collaborative international team with strong technical mentorship
- Autonomy to drive impact in a challenging, inclusive setting
