Product Operations - Fintech / Payments
Tazapay
Product Operations – Fintech / Payments
About the Role
This role is responsible for the day-to-day operational stability of our payment products. You will actively work with Partnerships, Operations, Product, and Engineering to manage downtimes, API issues, SOPs, operational codes, and service reliability metrics. This is not a generic operations role; it requires someone who understands payment flows, partner behaviour, and how systems react under failure.
What You Will Actually Do
1. Work with Partners on Downtimes & API Issues
Identify partner-side API anomalies (incorrect statuses, delayed callbacks, response mismatches).
Share clear reproduction steps, logs, and timestamps for escalation.
Track partner TAT on bug fixes and downtimes; push for faster resolutions.
Maintain a partner-issue register with impact, timelines, and closure notes.
2. Work with Operations on Manual Transaction SOPs
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Work with the Tazapay Operations Team to streamline and build SOPs for:
Manual retries
Manual capture/refund flows
Return/reversal handling
Any generic exception
3. Maintain Error Codes, Purpose Codes & Mapping Tables
You will be the owner of all “configurations that defines product behaviour”, including:
Merchant-facing vs. Internal error code mapping
Partner-specific error code overrides
Unified error catalogue (across products and partners)
Purpose codes for UPI/Payouts/LRS
Return codes, decline codes, status mappings
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Maintaining consistency across:
MIS
API responses
Dashboard displays
Internal logs
Keep engineering, product, operations, and partnerships aligned on any changes.
4. Monitor SR, TAT & Orchestrate the Response
Track Success Rate (SR) for each payment method and each partner.
Monitor TAT for payment acknowledgements and updates
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Identify drops/spikes in:
Failures
Unknown states
Delays
Specific PSP response patterns
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Trigger the correct internal response:
Alert Partnerships for partner degradation
Notify operations when manual intervention is needed
Pull Engineering for suspected regressions
Inform Product when behaviour indicates potential flow breakage
Maintain an incident timeline and ensure closure.
What You Need to Be Good At
Understanding of basic payment flows (payins, payouts, status lifecycle).
Reading API logs, JSON responses, and mismatches.
Writing clear SOPs and issue summaries.
Managing multiple stakeholders during incidents.
Strong ownership and ability to “connect the dots” across product + operations + partners.
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