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Job Description

Ensure timely processing, accounting and payments of supplier invoices, incentive and refunds. Carry out processing and reconciliation of Sales/Revenue Recognition/Interline transactions and non-airline partner billings by providing assurance on completeness and accuracy through internal control and review. Identify discrepancies through audit, raise undercollections, investigate movements in balances and ensure accurate reconciliations with minimal exceptions and adjustment needs. Analyse and report flight revenue yields, ensure all functional units are aligned with the Quality Management System, update system related masters accurately and on timely basis. Compile, monitor and follow up on the accounting and control reports from the outstations and validate contents through appropriate analysis.
Job Outline


  • Review processes, analyse high risk areas, handle quality checks, and ensure adequate maintenance of prevention and detection controls to ensure completeness, timelines of processing, accounting, billing and accuracy of computation and settlement.
  • Resolve disputes, queries, discrepancies with internal and external stakeholders.
  • Identify areas and ensure active involvement in projects, system enhancements testing and process changes and thereby acquire in depth knowledge and enhance business processes.
  • Check the integrity of interfaces and completeness of data generated by the system. Provide support on key processes and deliverables in the absence of Finance Officer and assist the Finance Officer/Controller in month closing reviews by investigating movements in balances to ensure quality/accuracy of reporting and to ensure that month/year end adjustments are kept to the minimum.
  • Provide data analytical support for Management Information Systems (MIS), KPI and Revenue Assurance.
  • To periodically analyse and assess reasonableness of revenue/ yields projected on a weekly basis and ensure data integrity of actual revenue reported
  • To conduct monthly reconciliations of revenue reported from Revenue Accounting system versus other MIS systems, assist in Financial / Investment Corporation of Dubai (ICD) audits, support Corporate Tax requirements and present Senior Management with periodic MIS reports.
  • To reconcile Sales and Revenue related control and clearing nominals, highlight discrepancies, investigate movements in balances and ensure accurate reconciliations with minimal month/year end adjustments.
  • To check the integrity of interfaces and completeness of data generated by the system.
  • Assist Finance Officer in month closing reviews by investigating movements in balances to ensure quality/accuracy of reporting and to ensure that month/year end adjustments are kept to the minimum. 

Job Details

Job Location
United Arab Emirates
Company Industry
Other Business Support Services
Company Type
Unspecified
Employment Type
Unspecified
Monthly Salary Range
Unspecified
Number of Vacancies
Unspecified
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