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You will be updated with latest job alerts via emailKey Responsibilities:
Perform daily reconciliation of fiat deposits and withdrawals
During the initial training period freshers will primarily support deposit reconciliation with gradual onboarding into withdrawals and other payment flows
Track and verify client transactions through companys platform and bank account
Support resolution of unmatched or delayed payments
Assist the Client Payment Manager in reporting documentation and daily operational tasks
Shift Requirements:
Follow a rotational daily shift including Fridays and Saturdays
Full availability during assigned working days is required
Qualifications :
Proficient in Microsoft Excel (formulas pivot tables VLOOKUP)
Familiarity with Google Sheets Slack and banking portals is a plus
Fresh graduates or up to 1 year of experience in reconciliation fintech or general finance
Preferred Skills:
Strong communication and coordination skills
Ability to work under pressure and adapt to shifting priorities
Team-oriented mindset and a high sense of responsibility
Additional Notes:
Candidates will be required to complete an Excel test before hiring
Shift-based expectations will be communicated clearly during the interview process
Remote Work :
No
Employment Type :
Contract
Contract