JOB TITLE : Billing Optimization & reconciliation Specialist
TERM : 12 months
CLIENT LOCATION : Cairo, Egypt
RELEVANT EXPERIENCE : 10+ years of experience in billing, reconciliation, or financial operations within payments or banking
MANDATORY REQUIREMENTS
- : Strong understanding of scheme (MC) fees, issuing models, and reconciliation processes
PURPOSE OF JOB
Support the client in the optimization and prediction of scheme fees
TASKS
Core Responsibilities and Accountabilities
Conduct a comprehensive analysis of issuing fees over a recent 12-month period starting from July 2025.Identify and calculate various fee types, including indirect and non-direct issuing fees.Structure and map fees into logical layers for clarity and traceability.Develop an Excel-based model to allocate and analyze fees at the product level.Use insights from the historical analysis to identify addressable costs such as data integrity and non- compliance fees.Recommend actionable strategies for scheme fee optimization, including optional services that may be adjusted or discontinued.Design and deliver a robust Excel framework for ongoing fee calculation, estimation, and prediction.Conduct a client workshop to hand over the model and train users for independent use and future tracking.Objectives
Understand and document scheme fees over the past 12 months.Identify and address inefficiencies in the current fee structure.Empower the client to manage and optimize fees independently through a tailored tool and methodology.Knowledge and Experience
10+ years of experience in billing, reconciliation, or financial operations within payments or banking.Strong understanding of scheme fees, issuing models, and reconciliation processes.Advanced Excel modeling and data analysis capabilities.Experience in cost optimization and financial strategy development.Ability to lead client workshops and deliver training.Strong communication and stakeholder management skills.