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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

On-site
  • Limassol, Cyprus
Finance and Accounting

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