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Payments Finance & Reconciliation Manager

  • Paytm
  • Luxembourg, Luxembourg
  • €75,000 – €95,000

Key Responsibilities

Payment Transaction Accounting

-Own end-to-end accounting for payment transaction flows across acquiring, ensuring accurate recognition of transaction volumes, merchant fees, interchange, scheme charges, and other payment-related revenues and costs

-Ensure payment processor and scheme settlement reports are accurately mapped and recorded within the general ledger

-Oversee accounting for settlement, safeguarding, and suspense accounts, ensuring appropriate classification and treatment of timing differences

-Review payment-related journal entries and ensure completeness and accuracy ahead of monthly and year-end close

-Ensure appropriate accounting treatment of transaction-related receivables and payables, refunds, reversals, chargebacks, and scheme fee accruals

-Support accurate revenue recognition and transaction cost reporting

-Work with Product, Operations, and payment partners to ensure new products, payment flows, schemes, and processor changes are correctly reflected in the accounting framework

Safeguarding & Reconciliation

-Own the financial reconciliation and control framework supporting the safeguarding of client funds, ensuring balances are accurately identified and reconciled in accordance with applicable requirements

-Review and sign off daily and periodic reconciliations between internal ledgers, processor and scheme reports, settlement accounts, and bank statements

-Establish escalation thresholds and resolution timelines for reconciliation breaks, ensuring material or aged items are investigated to root cause and resolved

-Act as the Finance escalation point for complex reconciliation and settlement issues, working with processors, banking partners, and internal teams

-Ensure safeguarding and reconciliation processes, controls, and documentation remain audit-ready and capable of supporting regulatory reporting

-Drive improvements in reconciliation tooling, automation, and control design as transaction volumes and payment methods scale

Payroll Accounting & Oversight

-Review payroll outputs, payroll accounting, and related reconciliations

-Coordinate with payroll providers and internal teams to ensure accurate processing and accounting

-Oversee the Finance aspects of statutory deductions, payments, and submissions, ensuring accuracy and timeliness

Financial Reporting, Audit & Controls

-Support monthly, quarterly, and annual close processes and financial reporting under Lux GAAP and, where applicable, IFRS

-Support Finance inputs into CSSF and other applicable regulatory reporting, particularly around safeguarding and payment activities

-Support external and internal audits, including preparation of reconciliations, schedules, and supporting evidence

-Maintain financial controls, documentation, and procedures across areas within the role's scope

Management Information & Business Insight

-Produce clear management information on transaction volumes, payment revenues, transaction costs, and settlement/reconciliation performance

-Support monthly management and Board reporting, including analysis of payment economics and emerging trends

-Support budgeting, forecasting, and variance analysis relevant to payment activity and transaction costs

-Provide financial insight to the CFO and wider management team to support commercial and operational decision-making

Processes, Systems & Automation

-Establish and document scalable processes and SOPs for payment accounting, reconciliation, and safeguarding-related Finance activities

-Drive automation of high-volume reconciliation and transaction-accounting processes to reduce manual intervention as the business scales

-Support implementation and development of accounting, reconciliation, and other Finance systems

-Work cross-functionally with Finance, Product, Operations, Technology, and external partners to embed financial controls into new payment products and processes from the outset

Skills

  • Financial Reconciliation
  • General Ledger Accounting
  • Payments Processing
  • Settlement Reporting
  • Revenue Recognition
  • Safeguarding Compliance
  • Stakeholder Management

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