track and monitor merchants, PGs and bank receivables and payables
conduct thorough validation checks to ensure accuracy and completeness of data before processing payouts, minimizing errors and delays
work with business, product & tech teams to ensure timely disbursements of funds to merchants/partners/vendors.
work closely with the reconciliation team to identify and resolve transaction exceptions
collaborate with cross-functional teams, including finance, reconciliation and operations, to optimize payout process
manage relationships with external stakeholders like merchants, payment gateways, banks & aggregators
proactively identify and investigate any anomalies or discrepancies in payout transactions, resolving issues promptly to prevent financial discrepancies
continuously evaluate and improve payout processes to enhance efficiency and streamline operations
develop comprehensive SOP and maintain transaction records for audit and compliance purposes
manage invoicing process for merchants/vendors as part of payout process
you should apply if you have:
2-3 years of experience in PG settlements, merchant payments, fund management.
adept with MS Excel, Word, PowerPoint, and similar tools