Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will own reconciliation and reporting workstreams across payment networks banking partners processors and internal ledger data. You will build SQL-based reporting and automated controls investigate discrepancies improve data pipelines support audits and collaborate with finance engineering product and compliance stakeholders.
Requirements
- 5+ years of related experience with a Bachelor's degree or 3+ years with a Master's degree or equivalent experience
- Expert SQL skills
- Experience owning reconciliation settlement or financial reporting workstreams
- Knowledge of accounting principles double-entry concepts and money movement
- Experience designing and maintaining data pipelines
- Advanced Excel proficiency
- Experience with reconciliation tooling and banking portals
- Excellent communication skills
- Experience delivering process improvements and automation
Responsibilities
- Design and deploy reconciliation and reporting solutions
- Own daily weekly and monthly reconciliations
- Manage discrepancies from detection through resolution
- Define metrics for reconciliation and reporting
- Serve as a subject matter expert on settlement and money movement
- Build and document automated SQL reporting
- Design and maintain data pipelines
- Identify control gaps revenue leakage and data quality issues
- Support month-end close and audits
- Define requirements and test plans for system changes
- Mentor analysts and review code
Benefits
- Remote work
- Medical insurance
- Flexible time off
- Retirement savings plans
- Modern family planning