WHAT YOU'LL BE WORKING ON Daily, weekly, and monthly reconciliation of transactions across all payment channels (acquiring, payouts, P2P, refunds, chargebacks) Matching data between internal accounting systems and bank statements Identifying, analyzing, and resolving discrepancies Collaborating with the account and support teams to investigate and resolve reconciliation issues Preparing financial reports based on reconciliation results Participating in the automation and optimization of reconci…
Szczegóły oferty
Firma
FYST
Lokalizacja
Polska
Kategoria
Unknown
Data publikacji
20.06.2025
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