Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will manage the end-to-end daily and monthly reconciliation of assigned processor and bank accounts. You will investigate transaction breaks, recover unsettled funds with payment partners and banks, prepare month-end reporting and audit evidence, and maintain reconciliation documentation. You will also use Python and AI coding tools to automate ingestion, normalisation, matching, exception reporting, and internal reconciliation-tool workflows. You will collaborate to resolve customer disputes and raise recurring upstream issues.
Requirements
- Bachelor's or master's degree in a quantitative subject such as business economics industrial economics finance statistics applied mathematics or data science
- Python scripting and debugging for data work using pandas or equivalent
- Experience using AI coding tools to build and explain working solutions
- Numerical reasoning and ability to work with large datasets
- Advanced Excel
- Fluent written and spoken English
- Legal right to work in Norway
Responsibilities
- Own daily and monthly reconciliation of assigned processor and bank accounts
- Investigate reconciliation breaks and recover unsettled funds with payment partners and banks
- Produce month-end reporting and audit-standard supporting evidence
- Maintain reconciliation documentation
- Resolve customer disputes within SLA with Customer Service Engineering and Product
- Write Python automations for data ingestion normalisation matching and exception reporting
- Use AI coding tools to build test and document reconciliation automations
- Raise recurring breaks with the relevant upstream owner