Job Description
1. Work experience with travel industry
2. Day to day accounting, Entries and Bookkeeping.
3. Carry out vendor Bank reconciliation.
4. Bookkeeping, Business partner account reconciliations
5. Interdivisional Accounting
6. Entries of Transactions and Billing of BUS, Train, CAR, Hotel and other ground arrangements.
7. Checking of Debit Notes, Credit Notes, and Adjustments of all Airline transitions.
8. Works as and when assigned by the reporting manager
9. Bank Liaisoning and other offices if required