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Job Description
The Interchange and Scheme Fee Team is responsible for managing and analysing the complex fee structures associated with card transactions across European, APAC, MEA, and LAC regions. The team ensures accurate calculation, reporting, and optimization of interchange and scheme fees across various payment networks.
Key Accountabilities
Interchange and/or Scheme Fees management (including bulletins analyses, tracking changes, product implementation, rates management, cost reconciliation, and procedures maintenance)
Conduct comprehensive financial analyses, including budgeting, forecasting, expense allocation, ad hoc business case development, peer group comparisons, and internal consulting across all management levels
Develop and maintain advanced spreadsheets and statistical models
Prepare a wide range of management reports and presentations to communicate financial insights effectively
Investigate and resolve discrepancies or errors in financial data sourced from reporting systems
Assist in the development and enhancement of financial applications and tools
Skills & Experience Required
Working knowledge of financial analysis techniques
Well-developed mathematical and analytical skills
Ability to identify and resolve exceptions
Strong technical skills related to data mining and visualization tools
Advanced MS Excel proficiency
Experience with SQL or a commitment to learning it within the first 3 months
Ability to read and comprehend technical documentation from card brands (Visa, Mastercard, JCB, AMEX, and others), published in English
Location Expectations
This role requires working from a U.S. Bank location three (3) or more days per week.
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