About the Role
The Reconciliation Manager ensures that the PSP operates with accurate, transparent, and reliable reconciliation of all payment and financial transactions across the various jurisdictions in which the company is licensed and operates. This role is accountable for developing and managing a comprehensive reconciliation framework that supports financial integrity, strengthens internal controls, facilitates timely settlements, and enables effective collaboration with internal teams and external partners in a highÃÂâÃÂÃÂÃÂÃÂvolume, multiÃÂâÃÂÃÂÃÂÃÂmarket payments environment
Key Responsibilities
Leadership & Management
Lead, build, and continuously enhance the reconciliation function to ensure accurate tracking of all transaction flows, settlements, and ledger balances across markets and products.
Develop negotiation, documentation, and implementation of reconciliation policies, standards, procedures, and controls tailored to support international operations.
Manage the reconciliation team, set performance expectations, support professional development, and ensure strong succession planning.
Reconciliation Operations & Controls
Oversee the execution of daily, weekly, and monthly reconciliation processes for transactions across payment rails, banks, Virtual Pay partners, wallets and merchant accounts.
Establish and maintain robust reconciliation controls, exception handling workflows, and escalation procedures to promptly resolve discrepancies and exceptions.
Monitor reconciliation outcomes for accuracy and completeness; ensure that variances and unresolved items are investigated, analyzed, and addressed in a timely manner.
Settlement Oversight & Financial Reporting
Ensure reconciliation supports timely and accurate settlement with banking and PSP partners in all operating jurisdictions.
Work closely with Finance to validate general ledger balances and support monthÃÂâÃÂÃÂÃÂÃÂend, quarterÃÂâÃÂÃÂÃÂÃÂend, and yearÃÂâÃÂÃÂÃÂÃÂend close activities related to reconciliation and financial reporting.
Prepare and present reconciliation status reports, insights, and key performance indicators to senior leadership.
Process Efficiency & Technology Integration
Identify opportunities to automate reconciliation workflows, improve tools and systems integration, and eliminate manual inefficiencies.
Partner with Product, Engineering, and IT teams to design and deploy scalable reconciliation solutions that support growth and operational reliability.
Compliance & Risk Management
Ensure reconciliation practices align with internal controls, risk management frameworks, and applicable regulatory reporting obligations in all jurisdictions of operation.
Support internal and external audits with detailed documentation, reconciliation evidence, and risk control validation.
CrossÃÂâÃÂÃÂÃÂÃÂFunctional Collaboration
Collaborate with Finance, Compliance, Operations, Treasury, and other business units to resolve reconciliation issues, support new product launches, and address operational risks arising from transaction flows.
Qualifications & Experience
Bachelor's degree in finance, Accounting, Business Administration, or a related field.
Professional qualifications such as CPA, ACCA, CIMA, or equivalent are highly advantageous.
Minimum 5 years' experience in reconciliation, financial operations, or payment processing functions, preferably within fintech, PSPs, banks, or highÃÂâÃÂÃÂÃÂÃÂvolume transactional environments.
Demonstrated experience managing and scaling reconciliation functions or teams in a dynamic, multiÃÂâÃÂÃÂÃÂÃÂjurisdictional operational context.
Expertise in reconciliation principles, financial controls, exception management, and settlement operations.
Strong analytical skills with the ability to interpret large data sets, identify trends, and resolve complex discrepancies.
Excellent leadership, communication, and stakeholder management capabilities.
High proficiency in Excel and familiarity with reconciliation tools, ERP/finance systems, and data analytics platforms.