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. Specific to Group Payroll Services Provide a support service to the department and relevant areas of the business with respect to payroll and employee related payments, accounting and master maintenance to ensure that payments to employees are made accurately and on time and the financial statements reflect the correct balances.
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