
Key Responsibilities:
- Own end-to-end merchant payout processing, ensuring accuracy and timeliness.
- Manage daily, weekly, and monthly reconciliations between internal systems, banks, and merchant records.
- Ensure escrow account compliance as per regulatory and internal requirements.
- Investigate and resolve payout discrepancies, settlement issues.
- Coordinate with Operations, Business, Finance, and external Merchants for smooth payout execution.
- Drive process improvement initiatives to enhance efficiency, reduce TAT, and strengthen controls.
- Prepare and present payout MIS, dashboards, and reports for management review.
- Support audits (internal/external) related to payouts, settlements, and escrow processes.
- Leverage Excel and automation tools to improve reconciliation and reporting accuracy.
Requirements:
- MBA in Finance
- 5-8 years of relevant experience in merchant payouts, settlements, and reconciliation
- Must be from Payments/Fintech space
Strong hands-on experience with:
1. Merchant payout processing
2. Reconciliation frameworks
3. Escrow compliance
4. Advanced Excel
Preferred Skills:
1. Exposure to Alteryx / SQL for data analysis and automation
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