- 2/3-Way Matching: Perform complex 2-way and 3-way reconciliations across front-end platforms, Payment Aggregator/Gateway records, NPCI/Bank Switch data, and Core Banking Systems (CBS).
- BBPS Settlement Management: Validate settlement files with NPCI Bharat BillPay Ltd (NBBL) and designated settlement banks to ensure intraday and end-of-day funds are accounted for.
- PA & Merchant Settlement: Reconcile incoming payouts from payment gateways and disburse settlements to merchants/billers per agreed Service Level Agreements (SLAs).
- Discrepancy Resolution: Promptly identify, track, and resolve any transaction mismatches, settlement delays, or fee/MDR deductions.
- System Automation:
Champion the transition from manual spreadsheet-based matching to automated reconciliation software.
- UAT & Integration: Collaborate with product and tech teams to perform User Acceptance Testing (UAT) for new biller integrations, payment channels, and API switches.
Eligibility & Experience:
Minimum of 5+years of experience in payment operations, fund accounting, or financial reconciliation within a fintech or banking setting.
Domain Knowledge: Hands-on experience with NPCI products, BBPS, UPI, IMPS, and domestic/international card networks (RuPay, Visa, Mastercard).
Regulatory Acumen: Deep understanding of RBI guidelines regarding Payment Aggregators and the Bharat Connect/BBPS Ecosystem
📌 Team Lead - BBPS & Aggregator Reconciliation For BFSI - Gurugram
🏢 Uni-eservices & Hr Solutions
📍 Gurugram
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