Senior Product Associate - Monetization and Settlement

JPMorganChase·Oracle Recruiting
Bengaluru, India · Mumbai, IndiaFull-timePosted Jul 8, 2026
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Be at the heart of modernizing how businesses get priced, billed, and paid on a large-scale payment processing platform. Bring your expertise in product delivery and analytics to translate complex financial flows into clear, buildable solutions that improve accuracy and client outcomes. Join a team with strong mobility and growth opportunities while partnering closely with engineering, finance, and operations stakeholders.

 

As a Sr. Product Associate at JPMorgan Chase within Commercial and Investment Bank's Merchant Services unit, you will support product design and delivery for a payments monetization and settlement platform. You will translate pricing and accounting requirements into clear product documentation and executable delivery plans. You will partner with engineering teams and downstream finance and reconciliation stakeholders to improve configuration accuracy, reduce discrepancies, and strengthen funding outcomes. You will develop deep knowledge across pricing, service configuration, sub-ledger accounting outputs, and allocation rules to support end-to-end payout lifecycle capabilities.

 

This role focuses on the configuration and product logic that connects merchant setup to fee calculation and payout outcomes. You will help define how pricing and service configuration changes are requested, validated, tested, and released to production. You will contribute to sub-ledger posting outputs and reconciliation readiness by documenting acceptance criteria and supporting test execution with finance partners. You will also support allocation rule enhancements to reflect new merchant types, currencies, partners, and payment rails as the platform evolves.

 

Job Responsibilities

  • Define clear user stories, acceptance criteria, and functional specifications for pricing, service configuration, sub-ledger outputs, and allocation rule changes.
  • Partner with engineering teams to refine requirements into buildable scope, sequencing, and testable outcomes across sprints.
  • Translate pricing decisions and regional or segment needs into product specifications that drive accurate fee calculation and funding results.
  • Validate configuration accuracy and support root-cause analysis for fee discrepancies by tracing setup, pricing, and funding logic across systems.
  • Specify sub-ledger posting requirements, including posting types, journal entry expectations, and daily reconciliation outputs, to support downstream finance processes.
  • Collaborate with reconciliation stakeholders to confirm outputs meet operational requirements and to resolve gaps identified during testing and close cycles.
  • Document service configuration dependencies and impacts when pricing, allocation, or payout logic changes are proposed or delivered.
  • Coordinate intake, validation, and publication of service configuration changes through established tooling and release processes.
  • Analyze product and operational data to inform prioritization, identify defects or breakpoints, and substantiate product decisions.

 

Required qualifications, capabilities and skills

  • Bachelor’s degree in Finance, Computer Science, Business, or equivalent practical experience.
  • 2+ years of experience in product management, business analysis, or a closely related role within financial services or payments.
  • Knowledge of payment lifecycle concepts (authorization, clearing, settlement, funding).
  • Experience writing user stories, acceptance criteria, and functional specifications for technical delivery teams.
  • Experience working in an agile delivery environment (for example: sprint planning, backlog refinement).
  • Ability to analyze data to identify issues, validate outcomes, and support evidence-based decisions.
  • Ability to communicate complex financial and technical concepts clearly to engineering and business stakeholders.

 

Preferred qualifications, capabilities and skills

  • Experience with sub-ledger accounting outputs, general ledger posting concepts, or reconciliation workflows.
  • Exposure to pricing or fee management systems in a merchant acquiring or issuing context.
  • Experience with product or service configuration frameworks used to price or provision payment products.
  • Experience using delivery and documentation tools (for example: Jira or Confluence).
  • SQL experience and/or experience using cloud data platforms (for example: Snowflake) for independent validation.
  • Experience using reporting or visualization tools (for example: Tableau).
  • Experience supporting platform modernization or migration programs.

 

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