Card Issuing Operations Specialist

Shine

Amsterdam

Hybrid

EUR 60,000 - 90,000

Full time

2 days ago
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Job summary

Shine is expanding its Banking & Compliance team to strengthen the end-to-end operations of the card issuing program. You will ensure accurate settlement, timely reconciliation, and robust incident management across our card networks and banking systems.

The role is open with Paris as a preferred location and two remote days per week, with flexibility for candidates in Denmark, the Netherlands, or Germany. English fluency is essential and a plus if French is also spoken.

Qualifications

  • 3–5 years in banking operations focusing on card issuing.
  • Deep understanding of CARD Network Clearing & Settlement rules and Nostro/Vostro reconciliation.
  • Fluency in English; French is a plus.

Responsibilities

  • Manage end-to-end card operations and reconcile settlements daily.
  • Coordinate with banking system, card provider, and card network.
  • Lead incident resolution and maintain MIM contacts within 24 hours.
  • Prepare and review regulatory reporting (QMR, Xpay) and dashboards.
  • Back-up for other Payments Operations roles and document SOPs.

Skills

Banking operations
Card issuing
Nostro/Vostro reconciliation
Card Network knowledge
English/French fluency

Tools

Banking systems
Card network tools
Automation software

Job description

About Shine

Shine is the financial copilot for entrepreneurs and small business owners. Founded by serial entrepreneurs Rico Andersen and Martin Hegelund, Shine is a leading European fintech unicorn on a mission to restore the joy of running a business, by ending wasted time on financial admin. Shine offers a connected solution for invoicing, accounting, payroll, business accounts, payments, and financing, meaning business owners can focus their energy on growing a healthy business, not held back by manual admin.

Part of something bigger

Today we're part of Cegid, a European leader in cloud software for finance and accounting. Together we're building Europe's leading financial copilot for small businesses and their accountants. Shine already supports more than 400,000 small businesses. As part of Cegid, we now reach over one million small businesses and 15,000 accountants across Europe. We're a multicultural team working from France, Germany, Denmark and the Netherlands, contributing to a wider European network that spans France, Germany, the Netherlands, Denmark Spain, Portugal.

Your Hiring Experience Matters

Just as we respect our customers' time, we respect yours. Your experience with Shine and Cegid should feel simple, transparent and genuinely supportive.

The Banking & Compliance team at Shine

Over the next year, we will build a best-in-class banking operations unit from the ground up, automating reporting cycles, eliminating noise, and freeing our team to do what matters most: generating the sharp, forward-looking insights that drive growth. This is a rare opportunity to shape not just a function, but a high-performing team culture ,one where we consistently deliver and exceed our top-line targets.

Your role as a Card Issuing Operations Specialist

The Card Issuing Operations Specialist is responsible for the end-to-end operational integrity of the card program and general payment flows. You will ensure the daily synchronisation between our Banking System, Card technical Provider, and the CARD network.

technical guardian of the system, managing incidents, resolving settlement discrepancies, and serving as a versatile back‑up for the broader Payments Operations Department.

Job located preferably in Paris, France, with the possibility of two remote working days per week. We are also open to candidates based in Denmark, the Netherlands, or Germany.

What You'll Be Doing
Core Card Operations & Reconciliation
  • Daily Settlement: Execute the "Triple-Match" reconciliation between CARD Network EOD files, internal banking system records, and Nostro accounts. Ensure the Card Network Settlement account is reconciled.
  • Fund Management: Monitor liquidity to meet Card’s Network’s cut-off. Alert your manager of potential cash shortfalls based on transaction volume trends.
  • Billing management and reconciliation: Perform weekly reviews of Card Network Billing Identify tiered pricing errors, contest incorrect late-settlement penalties, and claim reimbursements for negotiated fees.
Incident Management
  • Issue Resolution: Act as the primary point of contact for operational incidents (e.g., clearing file rejection, mapping errors, or connectivity issues between our technical card provider and our banking system).
  • Vendor Liaison: Manage the relationship with our technical card provider and the Card network, ensuring that all "MIM" (Member Information Management) contacts and NSIF forms are accurate and updated within 24 hours of any change.

Review and update stand‑in parameters regularly to mitigate BIN attacks and monitor authorised volumes via backup systems.

Claims, Fraud & Dispute
  • Full Dispute Lifecycle: Manage cardholder claims from identification to final resolution, including immediate reimbursements for confirmed fraud and managing chargeback rights (First/Second Presentments and Arbitrage).
  • Risk Reporting: Produce daily performance analysis on fraud levels, authorisation decline rates, and chargeback volumes to ensure the bank remains within the card’s Network quarterly thresholds.
Mandatory Regulatory & Scheme Reporting
  • VISA QMR (Quarterly Management Report): Lead the preparation and submission of the QMR, ensuring all data regarding transaction volumes, fraud, and interchange is validated against internal records.
  • Xpay & Regulatory Reporting: Oversee the accuracy of Xpay reporting and other central bank or regulatory filings related to payment card activities.
  • Performance Dashboards: Design and maintain internal reporting on authorization success rates, cross-border volumes, and merchant category (MCC) trends for Management Information.
Cross-Functional Support (Back-up Role)
  • Payments Versatility: Act as a designated back‑up for other Payment Operations roles. This includes the ability to assist on SEPA/Swift or other payments operations, treasury management, and general G/L maintenance when primary operators are absent.
  • Process documentation: Maintain and update Standard Operating Procedures (SOPs) for both Card and general Payment flows to ensure seamless knowledge transfer.
What You Bring
Technical Competencies
  • Experience: 3-5 years in banking operations, specifically focused on card issuing (principal member level).
  • Scheme Knowledge: Deep understanding of CARD Network Clearing & Settlement rules, billing system, and the Target2 holiday calendar.
  • Accounting: Knowledge of Nostro/Vostro reconciliation management.
  • Tools: Proficiency in Banking Systems, Card Network online system, and automated reconciliation software.
  • Full professional fluency in both English is essential and French is a plus for this role.
Soft Skills
  • Incident Resilience: Ability to stay calm and structured during technical outages or settlement failures.
  • Analytical Rigour: High attention to detail to catch human errors
  • Adaptability: A "team-first" mindset, willing to jump into other payment areas to ensure business continuity.
Equal Opportunity Employer

We follow the principle of equal treatment to consider all job applicants and do not discriminate based on their gender, sexual orientation, color, racial or ethnic origin, religion, disability, etc. as per applicable law.

Our recruitment process
  • Initial call (30 min) with a Recruiting Partner
  • Interview with hiring manager (45-60 min)
  • Case study interview + personality and logic assessment feedback
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