مطلوب Junior محاسب مالي - EKRS - Revenue Recognition & Interline
Job Purpose At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and ad…
Job description
Job Purpose At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
Requirements & Qualifications
- Qualification To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management
- Good analytical and investigative skills with ability to multitask
- To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent
- Good analytical and investigative skills with ability to multitask.
Benefits & Conditions
- If you’re looking for a challenging and rewarding opportunity، apply today and join our team! Salary & benefits Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
- Salary & benefits
- Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
Experience a fast-paced، multicultural environment where your financial expertise will be central to shaping the future of aviation while making a meaningful impact on a global stage
Our finance department at Emirates Group is responsible for acquiring and managing financial resources to generate profit
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities
As a Junior Accountant (Revenue Recognition and Interline) on the Revenue Services team، you will play a key role in generating financial entries and invoices، resolving proration، tax and revenue accounting، processing exceptions، reconcile control and clear nominals، audit documents، identify discrepancies، raise under collections، updating of Masters (General/Nominals) in Accounting System to facilitate seamless processing، accurate and timely accounting/reporting
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays
In this role you will: Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures
Identify and evaluate discrepancies، resolve queries with the respective internal or external stakeholders and preclude inconsistent results accompanied by maintenance of detective and prevention controls
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments
Support internal and external customers by providing required information and answering queries
Passenger Flown: Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount
Handle yield/ fare checks and other processing exceptions
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct
Interline: Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres
Audit and account inward billed invoices and credit notes after cost centre approval
Raise rejections as required
Working knowledge of office automation software like Word، Excel and Power point
Knowledge of fares، ticketing (preferably with IATA qualification)
You will have an edge if you have، Finance background Working knowledge of advanced fares and Global Distribution Systems (GDS) At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
Find out what it’s like to live and work in our fast-paced، cosmopolitan home city in the Dubai Lifestyle section of our website
Job Purpose
At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities.
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays.
In this role you will
Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures.
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication.
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments.
Support internal and external customers by providing required information and answering queries.
Passenger Flown
Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules.
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action.
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount.
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct.
Interline
Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances.
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc.
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres.
Audit and account inward billed invoices and credit notes after cost centre approval. Raise rejections as required.
Qualification
Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management.
Working knowledge of office automation software like Word، Excel and Power point.
Knowledge of fares، ticketing (preferably with IATA qualification).
You will have an edge if you have، Finance background
Working knowledge of advanced fares and Global Distribution Systems (GDS)
At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
If you’re looking for a challenging and rewarding opportunity، apply today and join our team!
Advertiser-supplied methods are shown here. Internal apply appears only when the previous-site conditions are met.
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Important questions before applying
How can I apply for مطلوب Junior محاسب مالي - EKRS - Revenue Recognition & Interline?
Review the job details, then use the available apply or contact button on the job page.
Where is this job located?
The job location is Emirates.
Is the salary listed?
The salary is not listed in the ad. You can ask about it when contacting or applying.
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مطلوب Junior محاسب مالي - EKRS - Revenue Recognition & Interline
مجموعة طيران الإمارات (Emirates Group)
Job description
Job Purpose At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
Requirements & Qualifications
- Qualification To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management
- Good analytical and investigative skills with ability to multitask
- To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent
- Good analytical and investigative skills with ability to multitask.
Benefits & Conditions
- If you’re looking for a challenging and rewarding opportunity، apply today and join our team! Salary & benefits Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
- Salary & benefits
- Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
Experience a fast-paced، multicultural environment where your financial expertise will be central to shaping the future of aviation while making a meaningful impact on a global stage
Our finance department at Emirates Group is responsible for acquiring and managing financial resources to generate profit
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities
As a Junior Accountant (Revenue Recognition and Interline) on the Revenue Services team، you will play a key role in generating financial entries and invoices، resolving proration، tax and revenue accounting، processing exceptions، reconcile control and clear nominals، audit documents، identify discrepancies، raise under collections، updating of Masters (General/Nominals) in Accounting System to facilitate seamless processing، accurate and timely accounting/reporting
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays
In this role you will: Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures
Identify and evaluate discrepancies، resolve queries with the respective internal or external stakeholders and preclude inconsistent results accompanied by maintenance of detective and prevention controls
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments
Support internal and external customers by providing required information and answering queries
Passenger Flown: Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount
Handle yield/ fare checks and other processing exceptions
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct
Interline: Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres
Audit and account inward billed invoices and credit notes after cost centre approval
Raise rejections as required
Working knowledge of office automation software like Word، Excel and Power point
Knowledge of fares، ticketing (preferably with IATA qualification)
You will have an edge if you have، Finance background Working knowledge of advanced fares and Global Distribution Systems (GDS) At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
Find out what it’s like to live and work in our fast-paced، cosmopolitan home city in the Dubai Lifestyle section of our website
Job Purpose
At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities.
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays.
In this role you will
Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures.
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication.
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments.
Support internal and external customers by providing required information and answering queries.
Passenger Flown
Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules.
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action.
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount.
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct.
Interline
Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances.
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc.
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres.
Audit and account inward billed invoices and credit notes after cost centre approval. Raise rejections as required.
Qualification
Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management.
Working knowledge of office automation software like Word، Excel and Power point.
Knowledge of fares، ticketing (preferably with IATA qualification).
You will have an edge if you have، Finance background
Working knowledge of advanced fares and Global Distribution Systems (GDS)
At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
If you’re looking for a challenging and rewarding opportunity، apply today and join our team!
Application and contact
مطلوب Junior محاسب مالي - EKRS - Revenue Recognition & Interline
Choose an available application or contact method.
Job description
Read the job details and requirements before sending your application.
Job Purpose At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
Requirements & Qualifications
- Qualification To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management
- Good analytical and investigative skills with ability to multitask
- To be considered for the role، you must meet the below requirements، Have 10 years of Schooling or equivalent
- Good analytical and investigative skills with ability to multitask.
Benefits & Conditions
- If you’re looking for a challenging and rewarding opportunity، apply today and join our team! Salary & benefits Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
- Salary & benefits
- Join us in Dubai and enjoy an attractive tax-free salary and travel benefits that are exclusive to our industry، including discounts on flights and hotels stays around the world
Experience a fast-paced، multicultural environment where your financial expertise will be central to shaping the future of aviation while making a meaningful impact on a global stage
Our finance department at Emirates Group is responsible for acquiring and managing financial resources to generate profit
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities
As a Junior Accountant (Revenue Recognition and Interline) on the Revenue Services team، you will play a key role in generating financial entries and invoices، resolving proration، tax and revenue accounting، processing exceptions، reconcile control and clear nominals، audit documents، identify discrepancies، raise under collections، updating of Masters (General/Nominals) in Accounting System to facilitate seamless processing، accurate and timely accounting/reporting
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays
In this role you will: Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures
Identify and evaluate discrepancies، resolve queries with the respective internal or external stakeholders and preclude inconsistent results accompanied by maintenance of detective and prevention controls
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments
Support internal and external customers by providing required information and answering queries
Passenger Flown: Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount
Handle yield/ fare checks and other processing exceptions
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct
Interline: Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres
Audit and account inward billed invoices and credit notes after cost centre approval
Raise rejections as required
Working knowledge of office automation software like Word، Excel and Power point
Knowledge of fares، ticketing (preferably with IATA qualification)
You will have an edge if you have، Finance background Working knowledge of advanced fares and Global Distribution Systems (GDS) At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
Find out what it’s like to live and work in our fast-paced، cosmopolitan home city in the Dubai Lifestyle section of our website
Job Purpose
At Emirates Group، we connect the world through our global hub in Dubai، ensuring our customers always ‘Fly Better.’ As one of the most recognised and admired brands globally، we’re driven by innovation and excellence
The team is pivotal in providing relevant financial information contributing to the productivity of our business functions، planning، and decision-making activities.
You will also be responsible to respond to disputes in a timely manner، perform customer account reconciliation and escalate settlement delays.
In this role you will
Process revenue accounting transactions، clear exceptions، raise invoices، trigger accounting، conduct reconciliation، fare/refund audits، master updates، reviews and other processing functions as per approved Standards and Procedures.
Improve customer experience through high-quality deliverables، effective issue resolution and structured communication.
Assist the Supervisor or Officer in pre/post-closing accounting functions and ad-hoc assignments.
Support internal and external customers by providing required information and answering queries.
Passenger Flown
Amend the fare construction string on passenger tickets to bring it in line with the IATA standard
This activity involves checking the fare construction string to ensure that the codes and amounts have been placed in the proper positions in line with IATA fare construction rules.
Handle proration exceptions in RAPID (Revenue Accounting Proration Interline and Decision Support System).This activity involves committing the point of turnaround and true destination of the journey، answering proration related questions by checking the ticket data elements and referring the reference data related items to the Reference data team for further action.
Handle tax processing exceptions in RAPID which involves breaking XT/ZZ tax، computing the collectible taxes on each sector (using RAPID screen TXP2001) and matching the collectible taxes with the collected amount.
This activity involves comparing the system computed net prorate value on the sector with the average yields given to the staff followed by checking the ticket data in RAPID to ensure the data is correct.
Interline
Reconcile on a regular basis Interline، and Revenue related clearing accounts to ensure that accounts reflect the correct and realistic balances.
Evaluate and pass necessary accounting entries for provision، accrual، reversal، booking revenue and exchange difference etc.
Raising invoices، billing memos، credit notes and credit memos on various customers through the relevant Finance system(s) based on information supplied by various cost centres.
Audit and account inward billed invoices and credit notes after cost centre approval. Raise rejections as required.
Qualification
Have 3+ years’ experience in Finance and Insurance Accounts، specific to Fare Revenue Protection، Passenger Flown، Refund and Revenue Master Management.
Working knowledge of office automation software like Word، Excel and Power point.
Knowledge of fares، ticketing (preferably with IATA qualification).
You will have an edge if you have، Finance background
Working knowledge of advanced fares and Global Distribution Systems (GDS)
At Emirates Group، we’re committed to providing our employees with opportunities to grow and develop their careers
If you’re looking for a challenging and rewarding opportunity، apply today and join our team!
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How can I apply for مطلوب Junior محاسب مالي - EKRS - Revenue Recognition & Interline?
Review the job details, then use the available apply or contact button on the job page.
Where is this job located?
The job location is Emirates.
Is the salary listed?
The salary is not listed in the ad. You can ask about it when contacting or applying.
Do I need an account to apply?
An account helps you save jobs, track application status, and update your resume easily.
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