We’re building advanced, AI-powered payment technologies that support Payment Service Providers (PSPs), Electronic Money Institutions (EMIs), and neobanks across the EU and the UK.
Requirements
- Perform daily transaction reconciliation across internal Excel-based accounting systems and automated platforms to ensure data accuracy and integrity
- Conduct periodic financial reconciliations (weekly, monthly, annual), identifying discrepancies and ensuring consistent reporting standards
- Create and maintain financial accounting workbooks and ledgers tailored to merchant and partner requirements
- Manage merchant tariff onboarding and updates, ensuring accurate fee structures in internal systems
- Calculate and process merchant settlements, including preparing and distributing detailed reports
- Maintain daily financial performance dashboards by merchant and partner, tracking key metrics and trends
- Execute transfers and deposit calculations, ensuring timely and accurate financial operations
- Prepare and distribute regular (weekly/monthly) financial reports to merchants
- Provide ad hoc financial analysis and support to Account Management and Sales teams
- Maintain and update foreign exchange rates across all systems to support multi-currency operations
- Support internal systems by reconciling transactions with online databases and ensuring proper mapping and linkage
Benefits
- Competitive salary and benefits package
- Flexible work arrangements to support work-life balance
To apply for this job please visit jobs.workable.com.

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