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FinTech Compliance & Reporting Manager

inDriver

inDriver

Compliance / Regulatory
Paphos, Cyprus
Posted on Nov 3, 2025

Responsibilities

  • Interlock with Finance for fast close and reporting: Serve as the single point of contact from FinTech for Accounting/Reporting requests and auditor PBC lists; ensure timeliness, completeness, and quality of responses.
  • Align cut-off rules and the close calendar (T+N) across all PSPs; monitor data delivery on the required dates and snapshots.
  • Coordination with PSPs and “data contracts”: Negotiate PSP reporting standards (mandatory fields, frequency, formats, identifiers linking cash↔transactions, fees/WHT, payout IDs), and establish SLAs for delivery and corrections.
  • Escalate and resolve when data is delayed or incomplete; document agreements and maintain change logs.
  • Revenue/Payments reconciliation — Finance project support: Support Finance in building the end-to-end framework “authorization → capture → settlement → bank deposit” with reason codes for breaks (fees, chargebacks, refunds, FX, reserves).
  • Together with Finance/BI, monitor data quality metrics: completeness, accuracy, timeliness; define KRIs/KPIs for aging of unreconciled items and on-time report delivery.
  • Treasury & settlements: Support Treasury in reconciling PSP settlement reports with bank statements, including rolling reserves and float balances.
  • Provide detailed breakdowns of fees and adjustments when required.
  • Assist PSPs in troubleshooting and resolving issues preventing the successful sending of settlements, collaborating closely with the Treasury team to identify and resolve any bank-related challenges.
  • Audit, ICFR/SOX, and documentation: Support SOX readiness for FinTech processes: process narratives, control design, evidence collection, RACI updates, exception tracking, and remediation.
  • Maintain audit readiness for quarterly/annual reviews; align with SOX 302/404 requirements (ICFR).
  • Data governance (FinTech domain): Maintain a unified data dictionary (gross/net/fee/WHT/payout ID, FX rules, source of exchange rates).
  • Govern changes in PSP reporting formats (notification → testing → release → fallback).

Qualifications

  • 3–5 years of experience in payments, PSP operations, or FinTech coordination.
  • Proven track record in partner management, SLA design, and process implementation.
  • Strong understanding of settlements, reconciliation flows, and PSP data structures.
  • Excellent communication and stakeholder management skills.
  • Technical literacy: advanced Excel/Sheets; basic SQL or BI tools to validate datasets.
  • Preferred: experience working with Finance, Treasury, or Accounting teams in data-driven environments.

Conditions & Benefits

  • Health insurance with oncology coverage and life insurance included.
  • Hybrid work mode and flexible schedule.
  • Access to professional counseling services including psychological, financial, and legal support.
  • Diverse internal training programs.
  • Partially or fully paid additional training courses.
  • All necessary work equipment.