The Role
We are looking for a detail-oriented and analytical Reconciliation Specialist to join our fast-growing iGaming startup. In this role, you will be responsible for ensuring the accuracy and integrity of financial transactions across payment gateways, banking partners, and internal systems. You will play a key role in building and scaling reconciliation processes from the ground up in a dynamic, high-volume online gaming environment.
This is an excellent opportunity for a finance professional who wants to grow within the rapidly evolving iGaming industry, gain exposure to international payment infrastructure, and contribute directly to the scaling of a global business.
The role can be performed either on-site in Dubai or remotely. For on-site employees, the company provides relocation support, including visa sponsorship and assistance with the move.
Responsibilities
- Build and maintain the reconciliation framework for deposits and withdrawals across internal back-office/platform data, PSP reports, bank statements, and, where relevant, wallet or crypto data.
- Set up the initial reconciliation model in Excel during the launch phase to test matching logic, validate exception rules, and detect operational errors; later support migration into an in-house automated solution.
- Reconcile deposit flows and validate transaction status and settlement outcomes, including successful, failed, canceled, missing, duplicated, and amount-mismatch transactions, as well as cases where internal and provider statuses do not match.
- Reconcile withdrawal flows across internal systems, PSP reports, and bank data, including successful, failed, pending, reversed, missing, and amount-mismatch transactions, as well as cross-status breaks between internal and provider records.
- Validate PSP charges, refunds, chargebacks, reversals, and other payment adjustments affecting reconciliation accuracy.
- Review settlements and provider balances, confirm receipt of funds into company bank accounts, and identify missing settlement references, over-settlement, under-settlement, and other settlement breaks.
- Investigate and resolve discrepancies end-to-end, escalating issues to Operations Finance, Risk, IT, or external providers where required, and maintain a clear exception log until closure.
- Prepare daily, weekly, and monthly reconciliation reports, control summaries, and supporting documentation for month-end close, audits, and internal reviews.
- Define requirements for internal reconciliation dashboards, control logic, and exception reporting as the internal toolset is built out.
Requirements
- 5+ years of experience in reconciliation, payments operations, settlements, or finance operations within iGaming, a PSP, fintech, or another high-volume online payments environment.
- Solid understanding of payment flows across deposits, withdrawals, refunds, chargebacks, reversals, settlements, and provider balances.
- Understanding of fraud, chargeback, and settlement-control workflows.
- Experience reconciling across multiple data sources, including internal systems, PSP statements, and bank or settlement records.
- Strong Excel skills and confidence working with large transaction-level datasets.
- Strong analytical skills and attention to detail, with the ability to investigate issues independently and close them out in a structured way.
- Fluent English, both written and spoken.
Preferred Qualifications
- Experience in iGaming and crypto payments reconciliations.
- Experience with reconciliation tools, automation initiatives, or drafting business requirements for IT.
- Experience with BI, reconciliation, or automation tools.
We Offer
- A key role with real ownership in an early-stage iGaming startup.
- Clear professional and career growth potential as the business scales.
- Flexible work format (on-site in Dubai or remote), with relocation support provided where required.
- Competitive compensation and package discussed individually with each candidate.
Application Question(s):
- Do you have direct experience in iGaming, fintech, PSPs, crypto payments?
- What reconciliation experience do you have with PSP reports, bank statements, settlements, deposits, or withdrawals?
- Can you share one example of a payment discrepancy you found and resolved?
Work Location: In person