Senior Reconciliation Officer

🏢 FINE+RARE
📍 United Arab EmiratesFull-timeOn-site
📅 Posted: Yesterday🔄 Updated: Yesterday
CV%
✨ AI Summary
Finera is seeking a Senior Reconciliation Officer in Dubai to manage reconciliation activities for payment gateways, processors, and internal financial records, ensuring financial accuracy and operational integrity. The role involves daily reconciliation of transactions, investigation and resolution of discrepancies, and validation of processor statements. The officer will also contribute to financial controls, data analysis, reporting, and automation initiatives, collaborating with various internal teams and external partners. A Bachelor's degree in Finance, Accounting, or Economics with 4-5 years of relevant experience is required.
Required Skills
Other
Experience working with processor transaction reports and gateway data
Information Technology
Advanced Excel
🎁 Benefits & Perks
Competitive salary package. Medical Insurance starting from day 1. Access to training resources and development opportunities. Well-stocked office with snacks, drinks, and refreshments. Multinational organization with a collaborative culture. Regular team-building events and company activities. Employee Recognition Program.
Requirements
Bachelor's degree in Finance, Accounting, Economics, or related field. 4-5 years of experience in reconciliation, payments operations, or financial operations, preferably in fintech, payment acquiring, payment gateways, or digital asset environments. Must have advanced Excel/data reconciliation skills and experience with processor transaction reports and gateway data. Familiarity with accounting systems and data visualization tools is advantageous. Strong analytical, investigative, and communication skills are essential.
Description
Job DescriptionFinera is seeking a Senior Reconciliation Officer to join the Finance team in Dubai. This role will oversee reconciliation activities across payment   gateways, processors, and internal financial records to ensure financial   accuracy, operational integrity, and settlement transparency. The position   plays a critical role in maintaining financial controls across merchant   transactions, settlement flows, and processor statements. The successful   candidate will work closely with Finance, BI, Treasury, and Operations teams to strengthen reconciliation frameworks and drive automation initiatives   across transaction data environments. Job RequirementsBachelor's degree in Finance, Accounting, Economics, or a related field.4-5 years of experience in reconciliation, payments operations, or financial operations.Experience working within fintech, payment acquiring, payment gateways, or digital asset environments.Technical SkillsAdvanced Excel / data reconciliation skills.Experience working with processor transaction reports and gateway data.Familiarity with accounting systems (e.g., Xero, Netsuite and Similar).Exposure to data visualisation tools (Tableau, Power BI, Looker Studio) is advantageous.CompetenciesStrong analytical and investigative skills.Exceptional attention to financial accuracy.Ability to manage complex reconciliation environments with multiple data sources.Strong communication and stakeholder coordination skills.Nice to HaveExperience with cryptocurrency  transaction reconciliation or digital asset operations.Knowledge of merchant acquiring and card scheme settlement frameworks.Experience with API-based reconciliation automation or data warehouse environments.Job ResponsibilitiesTransaction & Settlement ReconciliationPerform daily reconciliation of payment transactions across multiple data sources, including payment gateways, processor transaction reports, and internal accounting systems.Conduct 3-way reconciliations between:Payment gateway transaction dataProcessor transaction and settlement reportsInternal financial ledger / accounting systemEnsure transaction volumes, statuses, and settlement values match across all systems.Investigate and resolve discrepancies relating to:successful and declined transactionsrefunds and reversalschargebacks and representments settlement adjustments and processor feesProcessor Statement ReconciliationsReview and reconcile processor statements against transaction-level data to validate:Merchant Discount Rates (MDR)settlement feescrypto or FX conversion fees (where applicable)refund processing feesdeclined transaction feeschargeback handling feesrolling reservesValidate settlement calculations and confirm accurate net settlement amounts received from processors.Identify and report unexpected processor charges or fee deviations from contractual agreements.Monitor T+N settlement cycles (e.g., T+1 / T+3 etc.structures) and identify settlement delays or mismatches.Financial Controls & Exception ManagementInvestigate reconciliation breaks and ensure timely resolution of financial discrepancies.Maintain reconciliation documentation and audit trails for all settlement and processor activities.Escalate material discrepancies  or settlement risks to Finance leadership.Support audit processes and regulatory reporting requirements relating to transaction data and  settlementsData Analysis & ReportingProduce daily and monthly reconciliation reports, highlighting discrepancies and financial exposure, expected costs and effective costs. Develop exception reporting frameworks for reconciliation breaks.Work with BI teams to enhance automated reconciliation dashboards (e.g., Tableau,Looker Studio, Claude).Analyse transaction and settlement data to identify trends, operational inefficiencies, or financial risks.Process Improvement & AutomationIdentify opportunities to improve reconciliation workflows and financial controls.Support the design of automated reconciliation processes Assist with implementation of  reconciliation tools or BI dashboards to streamline financial monitoring.Cross-Team CollaborationLiaise with payment processors, banking partners, and merchants  to resolve settlement-related issues.Collaborate with Finance, Treasury, Operations, and BI teams to ensure reconciliation completeness.Assist in onboarding new processors or payment partners by defining reconciliation and reporting requirements.Support the Head of Reconciliation in the day-to-day management of the reconciliation function, including oversight of team workloads, guidance to reconciliation officers, and ensuring operational reconciliation processes are executed efficiently and in line with internal control standards.Job BenefitsCompetitive salary package aligned with experience and market standards.Medical Insurance starting from day 1.Access to training resources and development opportunities that support your professional growth.Well-stocked office with snacks, drinks, and refreshments available daily.A multinational organisation that promotes a strong, collaborative cultureRegular team-building events and company activities that strengthen collaboration across teams. Employee Recognition Program celebrating our Employee of the Month with special perks.
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🎯 Overalli74%
⚡ Skillsi85%
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Ontology Match: 85.0
Matched:✓ Requirements Matching✓ Ontology Skills Mapping
📜 Eligibilityi49%
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Local: 19600%
🏗️ Career Fiti91%
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Seniority: 91.0
📋 Requirementsi67%
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Domain: 67.0
🔥 Motivationi78%
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Title Fit: 78.00