Opportunity Description
Key Responsibilities
Multi-Channel Revenue Reconciliation
- Reconcile daily ticket sales from 11 branch POS terminals (Ratality) against bank deposits
- Match online bookings to payment gateway settlement reports
- Reconcile third-party booking agents, aggregators, and travel agency payouts
- Verify commissions, net payments, and passenger manifests
Variance Investigation & Resolution
- Investigate cash shortages or overages at branch level
- Resolve discrepancies linked to delayed cash collections (e.g., armoured vehicle services)
- Track and reconcile:
- Ticket cancellations and refunds
- Passenger no-shows
- Credit card chargebacks
- Identify delays between ticket sales and actual cash receipts
Systems Reconciliation (Sage & Ratality POS)
- Import and reconcile large volumes of POS t...
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