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Job Description

JOB PURPOSE


  • Manage accurate and timely settlement of Merchant Transactions.
  • Maintaining merchant accounts details, preparing monthly, quarterly reports & ensuring adherence to schemes billing requirement.
  • Submission of Quarterly Member reporting to Visa & MasterCard.
  • Role involves close coordination with teams, ensuring compliance with financial standards and addressing to merchants queries related to Payments, Transactions, Chargebacks etc…

KEY ACCOUNTABILITIES


  • Efficiently handles daily schemes settlement, ensure accuracy of daily settlement of merchant transactions, ensuring accuracy and timeliness.
  • Reconcile Settlement data between internal systems, Schemes, payment gateways and banking partners/Merchants.
  • Identify and resolve settlement discrepancies, identify failed transactions, correction of failed trans. & its resubmission.
  • Coordination with relevant teams, monitor settlement reports and provide detailed insights to management.
  • Settlement accuracy as per MCC & IRD, maintain accurate records of merchant accounts, fee structure etc…
  • Compliance with internal policies and regulatory requirements for merchant account management.
  • Respond to merchant inquiries regarding account details, settlements, transactions inquiries and other financial matters.
  • Manage risk by monitoring and identifying suspicious or high-risk merchant activity.
  • Preparing detailed financial & performance reports for merchants and management, including transactions summaries, fees and settlements.
  • Submission of Quarterly reporting to CBUAE, Visa & MasterCard.
  • Analyze trends and provide actionable insights to improve merchant operations.
  • Ensure timely distribution of reports to merchants and relevant stakeholders.
  • Ensure compliance with scheme billing requirements, including interchange fees, processing fees and other associated costs.
  • Liaise with card schemes to stay updated on billing, mandates, enhancements, changes and compliance requirements.
  • Monitoring Data integrity Edits from MasterCard.
  • Reconcile schemes fees with settlement reports and flag any discrepancies.
  • Should be able to handle the Audits and reviews.
  • Strong understanding of Schemes Rules & regulations, payment settlement process, merchant accounts and Schemes billing structure.
  • Proficiently in financial reconciliation and settlement system.
  • Ability to analyze large volumes of transaction data and identify trends or discrepancies.
  • High level of accuracy in handling financial transactions and reporting.
  • Strong written and verbal communication skills to interact with internal team, merchants, schemes and stakeholders.
  • Ability to identify and resolve issues related to settlements, billing, account discrepancies etc….
  • Familiarity with PCI-DSS standards & regulatory requirements and scheme compliance guidelines.
  • Timeliness and accuracy of settlement, interchange, account maintenance…
  • On time submission of Quarterly to Schemes, delivery of quarterly reports

Qualifications, Experiences & Technical Skills:


  • Familiarity with Merchant systems, onboarding platforms and digital tools.
  • Ability to address and resolve issues during the onboarding process.
  • Knowledge of KYC, AML and other regulatory requirements.
  • Ability to manage multiple onboarding processes simultaneously.
  • Years of experience: 3 to 5 years
  • Fields: Merchant Settlement & Accounts

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