FinOps Associate – Payments Operations & Reconciliation
Quick Summary
About the Role Glomopay is building cross-border payment infrastructure for global businesses. As a FinOps Associate, you will own the day-to-day payments operations and reconciliation lifecycle across our multi-entity, multi-currency structure spanning India (DTA), GIFT City IFSC, and the US…
Payments Operations • Manage end-to-end transaction monitoring across payment rails for collections, payouts, and internal treasury transfers. • Track and reconcile inbound/outbound of transactions, ensuring accuracy of merchant settlements.
• 1–3 years of experience in payments operations, reconciliation, or fintech finance ops. • Strong understanding of payment rails: UPI, IMPS, NEFT/RTGS, SWIFT, card networks.
About the Role
~1 min readGlomopay is building cross-border payment infrastructure for global businesses. As a FinOps Associate, you will own the day-to-day payments operations and reconciliation lifecycle across our multi-entity, multi-currency structure spanning India (DTA), GIFT City IFSC, and the US (Delaware). This is a high-ownership role where you will work at the intersection of finance, product, and engineering to ensure every transaction is accurately captured, reconciled, and reported.
Responsibilities
~1 min read• Manage end-to-end transaction monitoring across payment rails for collections, payouts, and internal treasury transfers.
• Track and reconcile inbound/outbound of transactions, ensuring accuracy of merchant settlements.
• Coordinate with banking partners and payment aggregators on settlement queries, failed transactions, chargebacks, and exception handling.
• Monitor daily float positions and flag discrepancies to the VP Finance in real time.
• Perform daily, weekly, and monthly reconciliation of payment gateway records against bank statements, ledger entries, and internal system logs.
• Identify and investigate breaks, suspense items, and unmatched entries; drive resolution with product/engineering teams.
• Build and maintain reconciliation trackers, MIS dashboards, and exception reports.
• Support month-end and quarter-end close processes by ensuring all payment-related entries are reconciled and booked accurately.
• Prepare monthly reconciliation for escrow accounts and reconcile the book balances with the actual balances.
• Document SOPs for reconciliation workflows, escalation matrices, and exception-handling procedures.
• Identify opportunities to automate manual reconciliation tasks; work with engineering to define requirements for recon tooling.
• Contribute to the design and testing of internal ledger/reconciliation systems as the platform scales.
• Ensure payment operations comply with RBI, IFSCA, and FEMA guidelines applicable to cross-border transactions.
• Assist in preparing regulatory returns and audit schedules related to payment flows and foreign exchange transactions.
• Support internal and external audit queries with transaction trails and supporting documentation.
Requirements
~1 min read• 1–3 years of experience in payments operations, reconciliation, or fintech finance ops.
• Strong understanding of payment rails: UPI, IMPS, NEFT/RTGS, SWIFT, card networks.
• Hands-on experience with bank reconciliation, escrow matching, and settlement processes.
• Proficiency in Excel/Google Sheets (VLOOKUP, pivot tables, conditional formatting at minimum); SQL basics are a strong plus.
• Attention to detail and comfort working with large volumes of transactional data.
• CA Inter / CMA Inter / B.Com / BBA Finance or equivalent qualification.
• Prior experience at a payments company, neo bank, or cross-border fintech.
• Familiarity with multi-currency accounting and FX reconciliation.
• Working knowledge of FEMA/IFSCA/RBI reporting requirements for authorized dealers or payment aggregators.
• Front-row seat to building financial infrastructure at a licenced PSP & cross-border fintech.
• Direct exposure to multi-jurisdictional payment flows across India, GIFT City and multiple locations.
• High ownership from day one – your work directly impacts settlement accuracy and cash flow visibility.
• Opportunity to shape reconciliation tooling and processes as the platform scales.
Location & Eligibility
Listing Details
- Posted
- May 12, 2026
- First seen
- May 12, 2026
- Last seen
- May 25, 2026
Posting Health
- Days active
- 11
- Repost count
- 0
- Trust Level
- 19%
- Scored at
- May 23, 2026
Signal breakdown
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