The ideal candidate may collaborate with Treasury, Operations, Product and Development and internal business teams to optimize payment processes and ensure compliance with company policies, regulations, and banking requirements.
What Will You Do:
Monitor and process daily payment transactions, including ACH, wires, and checks.
Reconcile bank activity, payment files, and cash movements; investigate and resolve discrepancies.
Manage payment exceptions, returns, rejects, and failed transactions in a timely manner.
Coordinate with third party vendors and internal stakeholders to resolve payment issues, where applicable.
Support daily cash positioning and liquidity reporting related to payment activity.
Maintain payment controls, approval workflows, and segregation-of-duties requirements.
Assist with payment forecasting, bank account administration, and treasury reporting.
Identify opportunities to automate and improve payment-processing workflows.
Prepare operational and management reports related to payment volumes, cash activity, and exceptions.
Ensure payment activities comply with internal controls, payment regulations, banking requirements, and other applicable regulations.
Perform other duties, work on various projects, and support ad hoc reporting
Qualifications
Bachelor’s degree in Finance, Accounting, Business, or a related field.
2–5 years of experience in Treasury (ideally client focused), payment operations, cash management, banking, or a related function.
Strong understanding of payment methods, banking processes, and cash reconciliation.
Experience with ERP and treasury management systems preferred.
Advanced Excel skills and strong analytical/problem-solving abilities.
Excellent attention to detail and ability to manage time-sensitive transactions.
Strong communication skills and ability to work effectively across multiple teams.
Preferred Experience
Experience with high-volume payment processing or payment operations, preferably on behalf of clients.
Familiarity with ACH, domestic/international wires, SWIFT, and payment file formats.
Experience with treasury management systems, ERP platforms, or banking portals.
Knowledge of payment automation, fraud prevention, and treasury controls.
Skills Required
- Bachelor's degree in Finance, Accounting, Business, or a related field
- 2-5 years of experience in Treasury, payment operations, cash management, banking, or a related function
- Strong understanding of payment methods, banking processes, and cash reconciliation
- Advanced Excel skills
- Strong analytical and problem-solving abilities
- Excellent attention to detail and ability to manage time-sensitive transactions
- Strong communication skills and ability to work effectively across multiple teams
- Experience with ERP and treasury management systems
- Experience with high-volume payment processing or payment operations, preferably on behalf of clients
- Familiarity with ACH, domestic and international wires, SWIFT, and payment file formats
- Experience with treasury management systems, ERP platforms, or banking portals
- Knowledge of payment automation, fraud prevention, and treasury controls
What We Do
An independent, global marketing technology and services firm, Ansira believes in transparent partnerships to meet clients where they are on their customer experience journey. Ansira designs relevant, persuasive experiences for all the right moments; strengthening relationships, cultivating brand loyalists, and assuring profitable client growth. Teams operating across the US, Europe, South Asia, and Oceania, arm brands and their channel sales ecosystems with digital offerings, channel partner marketing technology and services, and local marketing technology to make these experiences possible.







