Sobre este puesto de Card Reconciliation Officer en Renmoney
Key Responsibilities
Card Transaction Reconciliation
- Perform daily reconciliation of card transactions across all payment channels, including:
POS Transactions
ATM Transactions
Web/IPG Transactions
Credit Card Transactions
Agency Banking Transactions
Other Digital payments transactions
- Reconcile transactions between:
Mambu
Card Management System
Payment Switches (Interswitch, Mastercard, etc.)
Settlement Banks
Internal General Ledger accounts
- Ensure all reconciliation activities are completed within the approved Service Level Agreements (SLAs).
General Ledger Reconciliation
- Reconcile all card-related General Ledger (GL) accounts on a daily basis.
- Monitor outstanding balances and investigate unreconciled items.
- Ensure suspense and settlement GLs are cleared promptly.
- Maintain reconciliation schedules and supporting documentation.
Exception Management
- Investigate and resolve reconciliation breaks and settlement discrepancies.
- Track aged outstanding items until resolution.
- Escalate unresolved exceptions in accordance with established procedures.
- Coordinate with internal and external stakeholders to resolve exceptions within agreed timelines.
Settlement Validation
- Validate settlement reports received from payment schemes, payment switches, and settlement banks.
- Confirm settlement amounts agree with transaction processing records.
- Identify duplicate settlements, missing settlements, failed settlements, and settlement variances.
- Monitor settlement timelines and ensure prompt escalation of delays.
Reporting
Prepare and distribute:
- Daily Card Reconciliation Report
- Outstanding Reconciliation Items Report
- Settlement Exception Report
- GL Reconciliation Report
- Aged Outstanding Items Report
- Monthly Management Reconciliation Dashboard
- Operational Loss Report (where applicable)
Operational Risk & Control
- Ensure compliance with approved reconciliation procedures and internal control standards.
- Identify operational control weaknesses and recommend improvements.
- Maintain complete audit trails for all reconciliation activities.
- Report operational incidents, control breaches, and suspected fraudulent activities promptly.
Process Improvement
- Recommend automation opportunities for reconciliation activities.
- Participate in User Acceptance Testing (UAT) for new card products and system enhancements.
- Contributes to the continuous improvement of reconciliation processes and controls.
Requirements
Experience
- Minimum of 2–4 years' experience in Banking Operations, Card Operations, Reconciliation, Settlement, Finance Operations, or Electronic Payments.
- Experience in card reconciliation within a commercial bank, fintech, or payment service provider is an added advantage.
Technical Knowledge
- Good understanding of card transaction lifecycle and settlement processes.
· Knowledge of payment schemes such as Interswitch, Mastercard, NIBSS
- Understanding of General Ledger reconciliation.
- Knowledge of electronic payment operations.
- Familiarity with Core Banking Systems (e.g., Mambu) is an advantage.
- Proficiency in Microsoft Excel, including Pivot Tables, VLOOKUP/XLOOKUP, and data analysis.