What you’ll do
- Process payment transactions accurately and within required timeframes
- Perform daily, weekly and monthly bank reconciliations
- Investigate and resolve payment discrepancies and reconciliation differences
- Maintain accurate financial records and supporting documentation
- Monitor payment processing queues and ensure service level commitments are met
- Prepare and maintain reports
- Ensure compliance with internal policies, banking requirements and operational procedures
- Identify process improvements and proactively resolve operational issues
What you’ll bring
- Previous experience in payment processing, financial administration, banking or a similar finance related role
- Experience performing bank reconciliations
- Strong working knowledge of Microsoft Excel
- A financial qualification or relevant financial background is advantageous
- Exceptional attention to detail and a high level of accuracy
- Strong analytical and problem solving skills
- The ability to work effectively under pressure while maintaining quality and accuracy
- Strong numerical literacy and confidence working with financial data
- Excellent multitasking and organisational skills
- A high level of personal accountability, integrity and a strong work ethic
- Excellent communication skills and the ability to work collaboratively within a team