Ensure accuracy and compliance of PSP-related financial transactions. Conduct regular risk assessments, identify discrepancies in payment flows, and implement corrective measures to strengthen financial reliability and regulatory alignment; Financial Data Analysis and Reporting: Consolidate and analyze payment data to support strategic decision-making. Prepare detailed reports on transaction volumes, fee structures, operational costs, and performance against financial KPIs, ensuring data integrity and actionable insights; Cross-Functional Communication and Stakeholder Alignment: Collaborate closely with internal teams (Finance, Product, Legal) and external PSP partners to align on financial processes, resolve discrepancies, and ensure efficient, timely execution of payment operations; Process Optimization and Automation: Identify inefficiencies in payment and reconciliation workflows. Propose and help implement process improvements and automation tools to enhance accuracy, transparency, and operational scalability; Documentation and Knowledge Sharing: Maintain up-to-date documentation for all PSP financial procedures, including reconciliation processes, fee calculations, settlement cycles.