Job Description
Key purpose:
You will form part of our greater Onboarding Fleet, consisting of Operations, Engineering and Product.
Duties and responsibilities: Review monthly reconciliations performed by the Operations Team and provide training on areas of improvement Document and review control weaknesses and vulnerabilities, preparing product requests, tasks and timelines for the various improvements Own the resolution of reporting discrepancies and anomalies within our bank accounts and provider balances Drive automation and improvement of financial reporting and operational tasks within the Payments Fleet Assist with forecasting and modelling of commercial terms with providers, as well as internal fee change proposals Review internal and external communication processes and identify areas of improvement Track and report losses incurred due to errors within the Payments function or customer corrections Review delivery of banks and provider...