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Salary
$37k – $93k per year (Estimated)
Location
In office (Tunis)
Seniority
Junior · 1+ year exp
Employment
Full-Time
Overview
Company
Impact
Profile match
Ooredoo is Qatar's main telecommunications operator and the parent of a regional group. It provides mobile, fibre, cloud and data centre services across the Middle East and North Africa. The company is listed on the Qatar Stock Exchange.

Welcome to Your Next Adventure!

About The Role

FinOps Operator - Accounts & Wallets Management plays a critical role in ensuring the accuracy, integrity, and reliability of Ooredoo Fintech’s financial operations related to wallets, accounts, and transaction flows in the Tunisian market.

The role focuses on settlement and reconciliation, transaction monitoring, discrepancy resolution, chargebacks and disputes, financial reporting, and banking/partner coordination. It also works closely with Finance, Operations, Compliance, IT, and Product to resolve financial incidents and ensure transactions are processed accurately and within regulatory and internal control requirements.

What You’ll Get Your Hands On

Settlement & Reconciliation

  • Perform daily, weekly, and monthly reconciliation of wallets, bank accounts, ledgers, and payment transactions.
  • Reconcile internal transaction records against bank, payment processor, and partner settlement files.
  • Validate settlement amounts, transaction counts, fees, reversals, and outstanding balances.
  • Identify and clear unmatched and unreconciled transactions.
  • Ensure all settlement activities are completed within defined timelines and controls.

Transaction Monitoring & Control

  • Monitor end-to-end transaction flows across wallets, payment systems, banks, and external partners.
  • Validate the accuracy and completeness of transaction postings.
  • Identify failed, pending, duplicate, reversed, or missing transactions.
  • Monitor transaction exceptions and escalate issues affecting financial accuracy.
  • Ensure transaction data is properly reflected across relevant systems.

Reconciliation Breaks & Exception Management

  • Identify, investigate, and resolve reconciliation gaps, financial discrepancies, and anomalies.
  • Perform root-cause analysis on transaction and settlement variances.
  • Maintain exception and aging reports for outstanding items.
  • Coordinate with Finance, Operations, IT, Product, and partners to resolve issues.
  • Ensure corrective actions are documented and completed within agreed SLAs.

Chargebacks, Disputes & Financial Incidents

  • Manage chargebacks, refunds, reversals, and transaction disputes.
  • Investigate disputed transactions and validate supporting financial records.
  • Coordinate with banks, payment partners, merchants, and internal stakeholders.
  • Track financial incidents from identification through resolution.
  • Reconcile financial adjustments resulting from disputes and chargebacks.

FinOps Reporting & Management Information

  • Prepare daily, weekly, and monthly FinOps operational reports.
  • Produce reconciliation summaries, settlement statements, exception reports, and transaction analysis.
  • Maintain accurate financial and operational records.
  • Provide management with visibility into settlement status, outstanding items, discrepancies, and financial incidents.
  • Support development and improvement of FinOps dashboards and reporting.

Banking & Partner Coordination

  • Liaise with banks, payment processors, fintech partners, merchants, and other external stakeholders.
  • Coordinate settlement confirmations and investigate settlement discrepancies.
  • Resolve transaction and payment-related queries with external partners.
  • Follow up on outstanding settlements and financial adjustments.
  • Maintain effective operational relationships with banking and payment partners.

Audit, Controls & Compliance

  • Support internal and external auditsby providing transaction records, reconciliation files, settlement documentation, and explanations.
  • Ensure compliance with FinOps SOPs, financial controls, approval matrices, and regulatory requirements.
  • Maintain appropriate audit trails and supporting documentation.
  • Identify control weaknesses and support remediation activities.
  • Ensure reconciliation and settlement processes remain compliant and properly documented.

FinOps Systems & Financial Incident Monitoring

  • Monitor financial systems and transaction platforms from a FinOps perspective.
  • Identify system issues that may impact transaction processing, settlement, or financial reporting.
  • Investigate system-to-system discrepancies and data integrity issues.
  • Coordinate with IT, Product, and Operations teams on financial-impacting incidents.
  • Escalate critical issues and monitor resolution through closure.

Process Improvement & Automation

  • Identify opportunities to improve reconciliation, settlement, reporting, and exception-management processes.
  • Reduce manual activities through automation and system enhancements.
  • Improve accuracy, efficiency, control, and turnaround time.
  • Standardize FinOps workflows and documentation across operations.
  • Participate in implementation of new payment products, partners, and financial processes.

Cross-Functional FinOps Support

  • Act as the FinOps point of contactfor Finance, Operations, Compliance, Reporting, IT, Product, and other functions.
  • Provide financial and operational input into new products, systems, and processes.
  • Translate transaction and settlement issues into clear financial impacts and required actions.
  • Coordinate cross-functional resolution of financial operational issues.
  • Support the broader organization in maintaining accurate, controlled, and reliable financial operations.

What We're Looking For

  • 1-3 years of relevant experiencein financial operations, FinOps, accounting operations, reconciliation, payments, or transaction processing.
  • Experience in Fintech, banking, telecom, digital payments, or related financial servicesis preferred.
  • Hands-on exposure to wallets, payment platforms, transaction processing, settlements, or reconciliation.
  • Experience coordinating with banks, payment partners, merchants, or regulatory entitiesis an advantage.
  • Strong attention to detail with the ability to identify discrepancies, investigate issues, and support timely resolution.
  • Comfortable working across Finance, Operations, Compliance, IT, and external partners.

Priority will be given to Tunisian nationals / local candidatesfor this position.

Why join us?

At Ooredoo Fintech, you’ll have the opportunity to:

Work across markets- collaborate with diverse teams and customers.

Build what’s next- contribute to innovative Fintech and digital solutions.

Make an impact- see your ideas turn into real business outcomes.

Work with great people- learn from experienced professionals and grow together.

Grow with us- take on challenges that stretch your skills and career.

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