Get/have knowledge, overall view on ATM and POS merchant acquiring businesses
Perform daily checking of payment details for different entities each day
Review incoming and outgoing files and reports
Gather and package necessary data in the required form and format
Identify, repor.
Perform daily checking of payment details for different entities each day
Review incoming and outgoing files and reports
Gather and package necessary data in the required form and format
Identify, repor.