We are looking for an experienced, talented, and results-driven Finance Reconciliation & Analyst who will work with team members to manage and improve current finance processes and analysis. As a Finance Reconciliation & Analyst, you’ll work closely with multiple teams to ensure system consistency and improve occurring discrepancies.
Requirements
- Update daily PSP balances tracker;
- Calculate and communicate any required PSP top-ups or withdrawals;
- Monitor receipt of settlements from PSPs that settle on a regular basis and raise in cases where this is not being received;
- Run and review reconciliation matching software and communicate discrepancies to the relevant team;
- Perform manual reconciliations on PSPs that are not on the automated system and communicate any discrepancies to the relevant team;
- Assist payments team with any queries relating to PSPs (e.g. missing deposits, ad hoc reconciliations, new PSP testing, chargebacks etc.);
- Perform month-end reconciliations;
- Assist with other tasks as required by more senior members of the finance team
Benefits
- Exciting opportunity to play a pivotal part in the growth and development of a rapidly growing industry
- Competitive salary with health benefits and health insurance
- Attractive bonus packages
- Continuous training and development to enhance your knowledge
- Career development and growth
- Flexible work
- Social events
- Health allowance
- Diversity of roles, projects, and challenges
- Excellent team-oriented, fun international work environment