Problem
Improve payment processing and partner settlements while connecting provider records to the internal operational workflow.
Winline · Oct 2023 — Mar 2024
Tokenisation, deposit and withdrawal balancing, a dedicated payment service and automated reconciliation at Winline.
Improve payment processing and partner settlements while connecting provider records to the internal operational workflow.
Changes depended on business stakeholders, payment providers and DevOps, frontend, backend, QA and analytics teams.
As Special Projects Manager, I coordinated business requirements, analytical decomposition, development planning and release communication.
Move payment functionality into a dedicated internal service and combine tokenisation, balancing and automated provider reconciliation.
Select a stage to explore the work.
Business requests were formalised with analysts before entering development.
Tokenisation and balancing mechanisms supported payment processing and partner settlements.
Payment functionality moved into a dedicated internal service.
Automated comparison of provider records supported discrepancy investigation.
Delivered payment mechanisms that reduced commission costs and improved settlement processes, alongside a reconciliation tool and a more resilient service structure.