Job Description
Job Position Summary
Serve as a member of finance team, responsible for cash collection at airports and city offices, reconciliation, accounting, coordinating with various departments and reporting various reports to management for effective decision making.

Key responsibilities
- Responsible for Cash Handling and management at airports and City office and accounting function including:Reconciliation on daily basis
- Handling of Excess Baggage Receipts.Assist in month end closing and year end closing
- Handling of Petty Cash
- Other function of Finance/Revenue at Airports office
- Preparation of various report related to Finance / Revenue recognition / receivables
- Verification of Airport Charges.
Requirements

Desired Qualification / certifications
- Graduate with relevant experience of revenue accounting in airline. Any professional degree will be added advantage.
Preferred relevant work experience
- Over 3-4 years’ experience of Cashier accounting function of airline
Skills and knowledge
- Knowledge of cash collection, accounting, and other related work.
- Knowledge of automated revenue/financial accounting systems.
- Ability to answer all passenger related queries and prepare reports for Teams
- Ability to deal with large transactions volumes