
Reconciliation Manager
- On-site
- Limassol, Cyprus
- Finance and Accounting
Job description
Role Overview
On behalf of our client, we are seeking an experienced Reconciliations Manager with 4-5 years of relevant experience to oversee and manage all reconciliation activities within the payments/fintech operations. The successful candidate will liaise between the operations, finance, and payments teams to ensure accuracy, timely settlement of transactions, and resolution of discrepancies.
Key Responsibilities
Lead and manage daily reconciliation processes (e.g., payments received, card/ACH transactions, merchant settlements, inter-company transfers)
Ensure that transaction flows from operations, payments processors, acquiring banks and internal ledgers reconcile accurately
Investigate, identify and resolve discrepancies, mismatches or outstanding items in a timely manner
Develop, maintain and optimise reconciliation workflows, including automation and controls to ensure efficiency and scalability
Coordinate with finance, treasury, operations and external payment partners to close the books and ensure the integrity of financial data
Prepare and deliver reporting on reconciliation status, exception aging, trends, root-cause analysis and recommended process improvements
Assist in month-end and quarter-end close activities related to reconciliation and settlement processes
Maintain and update documentation of processes, controls and Standard Operating Procedures (SOPs)
Identify risks in the reconciliation process, propose and implement mitigation measures, and ensure compliance with internal and external audit requirements
Support ad hoc projects such as new payment method onboarding, system integrations, migrations or enhancements that impact reconciliation flows
Required Qualifications & Experience
Bachelor’s degree in Accounting, Finance, Business Administration or a related field
Minimum of 4-5 years of hands-on reconciliation experience within payments, fintech, banking or financial services environment
Strong understanding of payments flows, settlement processes, payment processors/acquirers, card/ACH, foreign currency settlements and inter-company clearing
Proven ability to investigate and resolve reconciliation discrepancies and exceptions, and to dig into root-causes
Excellent MS Excel skills and experience with reconciliation tools, ERP or accounting systems; scripting/automation experience (e.g., SQL, VBA, Python) is a strong advantage
Ability to work in a fast-paced, high volume, growth environment with tight deadlines and evolving processes
Strong communication skills (both verbal and written), attention to detail, analytical mindset and ability to work cross-functionally
High level of integrity, professionalism and accountability
- Limassol, Cyprus
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