Company Description
Launched in 2007 by Aloke Bajpai & Rajnish Kumar, ixigo is a technology company focused on empowering Indian travelers to plan, book and manage their trips across rail, air, buses and hotels. ixigo assists travelers in making smarter travel decisions by leveraging artificial intelligence, machine learning and data science-led innovations on ixigo’s OTA platforms, including websites and mobile applications.ConfirmTkt and AbhiBus became a part of ixigo in 2021. ixigo is headquartered in Gurugram with offices in Bangalore (ConfirmTkt) and Hyderabad (AbhiBus).
The ixigo, ConfirmTkt and AbhiBus apps allow travellers to book train tickets, flight tickets, bus tickets, hotels, cabs and provide travel utility tools and services developed using in-house proprietary algorithms and crowd- sourced information. In 2022, as per data.ai, ixigo was featured in the Top 10 most downloaded travel apps worldwide.
About Confirmtkt:
Confirmtkt is the fastest growing travel ticket search engine providing seamless ticket discovery and booking experience. The travel search is backed by a unique and efficient algorithm which figures out the best options across trains & buses to reach your destination. We started with solving the train wait-list problem with data analytics & machine learning by predicting the train ticket confirmation chances based on historical trends and also suggesting alternative travel options by effectively utilising the un-used inventory on trains.
Next time when you are booking a train ticket, try our app. We help you in making your journey a pleasure. Already serving over 12 Million users a month.This role is based out of Bangalore location - Confirmtkt office.
Job Description
Accounting of Bank Payments and receipts, Credit cards, Prepaid cards and preparation of its reconciliation statements.
Ensure that payments are made to the vendors/operators within the due date.
Daily Forecasting the expected operator balance and maintain sufficient balance with the Operator for smooth running of the business.
Periodical updation of operational, financial and performance indicators in the respective trackers maintained/requested by the company.
Verification of employee reimbursements, processing them within the timelines, accounting of the same in books of accounts, and maintaining registers in respect of such reimbursements.
Preparation of weekly cash flow forecast, reconciling them with actuals & Coordination with Head Office for funds and ensure sufficient funds are available to cover operational and capital investment needs.
Extending requisite support to co-functional teams like payables, MIS & receivables along with cross functional support.
Preparation of schedules for month closure & extend full support to audits Limited reviews, Due diligence, and any ad hoc activities.
Maintain an efficient system of policies that adequately control treasury activities
Qualifications
Graduation in Finance with minimum 2 years of experience
Proficient with financial software systems
Excellent communication and presentation skills
Proven working knowledge of Treasury operations
Strong knowledge of MS Office programs, particularly Excel & Word