.At XE, we live currencies. We provide a comprehensive range of currency services and products, including our Currency Converter, Market Analysis, Currency Data API and quick, easy, secure Money Transfers for individuals and businesses. We leverage technology to deliver these services through our website, mobile apps and over the phone. Last year, we helped nearly 300 million people access information about the currencies that matter to them and over 150,000 people used us to send money overseas. Thousands of businesses relied on us for information about the currency markets, advice on managing their foreign exchange risk or trusted us with their business-critical international payments. At XE, we share the belief that behind every currency exchange, query or transaction is a person or business trying to accomplish something important, so we work together to develop new and better currency services that put our customers first. We are proud to be part of Euronet Worldwide (Nasdaq: EEFT), a global leader in processing secure electronic financial transactions.The Operations Analyst will be reporting to the Operations Manager, you will be responsible for investigating outstanding reconciliation items, testing and updating system configuration and providing support to Operations functions relating to change and system enhancements. In addition, you will provide support for analysing, administering and implementing changes to processes, procedures and/or products and services that result in increased efficiency and/or cost reduction, related to Payments, settlements and cash management.Our principlesAMBITION - We dream big, try things out and always ask "why not?" and "what if?" We're ambitious in our thinking and our deliveryRESPONSIBILITY - We get involved, bring our perspective and are always open to new ideas. We take personal responsibilityCOMMUNITY - We value a sense of belonging, trusting each other and encouraging authenticity. We contribute to our communityWhat you'll do; Investigating and clearing outstanding bank reconciliation itemsTesting and managing changes to internal system configurations relating to payments and settlements.Assisting with the management of liquidity across all client bank accounts and ensuring compliance with all PSR and banking regulationsSupport bank account applications and processes.Managing access to third party banking/payment provider platforms AnalysisResearch new products and services and provide recommendations to Operations ManagersOperational Access Right audits ensuring all users rights are relevant to roles and seniority.Liaise with Key stakeholders to develop cost versus benefit analysis, draft business requirements and review and refine functional specifications