Bio
Experience
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Hyatt Hyderabad Gachibowli
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Hyderabad, Telangana, India
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Assistant Finance Manager
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Oct 2019 - Present
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Hyderabad, Telangana, India
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DoubleTree by Hilton
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India
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Finance Executive
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Nov 2018 - Present
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India
Finance Executive
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Radission Hotel
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Sultanate of Oman
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Supervisor Income Auditor
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Aug 2016 - Jun 2018
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Sultanate of Oman
As a Income Auditor maintains all necessary income reports and journals by accurately auditing the daily revenues of the hotel, in accordance with hotel accounting and financial controls, and within the policies and procedures as outlined in ECOMAN, hotel and corporate policies and guidelines, and the hotel’s business plan.• Preparing & circulation of daily revenue report• Daily income Audit discrepancy Report• M&E Checks to be verified against BEO and ensure revenues are captured accurately before filing• Voids Checks together with void reason report to be verified and submitted to FC & GM for approvals• Paid Out transaction to be verified, ensure guest signed and submit to Asst. FC for approval• Review rate check, rebate, Correction and miscellaneous transactions to be verified and submitted for FC & GM for approvals
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Sharq Village & Spa, a Ritz-Carlton Hotel
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Doha, Qatar
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Supervisor Income Auditor
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Jun 2015 - Aug 2016
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Doha, Qatar
Maintain a procedure necessary to verify the accuracy of all revenue and adjustment posting. To investigate all complimentary rooms, market code statistics report, Miscellaneous and Adjustment vouchers, managers checks, rate discrepancy, balancing of all interface system and the accuracy of the Managers Report
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Courtyard by Marriott
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Finance Executive ( Income Auditor)
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Courtyard by Marriott, Pune Chakan
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Jan 2014 - Jun 2015
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Finance Executive ( Income Auditor)
Job Role: Maintain a procedure necessary to verify the accuracy of all revenue and adjustment posting. To investigate all complimentary rooms, market code statistics report, Miscellaneous and Adjustment vouchers, managers checks, rate discrepancy, balancing of all interface system and the accuracy of the Managers ReportKey Responsibilities:• Preparing and circulation of Gross revenue Report and Weekly Flash report.• Assisting in key reporting to headquarters including but not limited to A&L reconciliation Tax reconciliation• Ensure Quality & Timely report and Bank Clearing Accounting & Bank Reconciliation Statement • Monthly Marriott and Owners Reporting • Verifying Processing the Travel Agent Commissions and operational incentives according to the contracts and Policies of Marriott Standards• Ensured timely and correct reconciliation of Service Tax, Vat, Luxury Tax and Complimentary Luxury Tax
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Marriott Hotels
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Income Audit Associate
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Marriott Hotels & Convention Centre and Courtyard by Marriott, Hyderabad ( Complex property)
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May 2013 - Dec 2013
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Income Audit Associate
Key Responsibilities:• Experience in a complex setup with 2 distinct properties i.e. Marriott Hyderabad (5 star, 293 rooms) and Courtyard Marriott (4 star – 112 rooms).• Preparing and circulation of Gross revenue Report and Weekly Flash report.• Ensure Quality & Timely report and Bank Clearing Accounting • Monthly Marriott and Owners Reporting • Ensured timely and correct reconciliation of Service Tax, Vat, Luxury Tax and Complimentary Luxury Tax
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Taj Falaknuma Palace
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Hyderabad
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Revenue Auditor
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Oct 2010 - Mar 2013
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Hyderabad
Employer: Taj Falaknuma Palace Hyderabad (Pre-Opening).Duration: October 2010 - March 2013.Designation: Revenue AuditorTaj Falaknuma palace located in Hyderabad is the newest palace of the Taj Group and has been undergoing restoration over the last 10 years. This 60 room private palace is to offer its visitors a glimpse into the imperial life of the Nizams who governed the legendary city of Hyderabad. The palace was opened on 14th November 2010.Work Role:To ensure timely reconciliation of all daily sales transactions in order to detect any loss of revenue for the purpose of taking corrective action to maximize the organizational profit. Key Responsibilities:Revenue Auditor:• Daily tally sheet Revenue Reconciliation report.• Review and ensure the correctness of daily business reports• Tally cash settlements with the cashier summary and cash book• Transfer/modification/split postings & Track on Taxes of Restaurant terminals & Room Postings Assistant to Credit Controller:• Taj POS/PMS Interface Reconciliation report.• Ensure Cash sale account in Accounts Receivable is tally & Check for Completeness/accuracy of AR transactions Assistant to F&B Controller:• Daily Food Cost, Complimentary, Discount Report and Allowance Report • Daily Void, Split, Reprint Report, All Outlet Pricing Controls in POS Menu master rate Modifications
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Education
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2008 - 2010MBA Finance
Master of Business Administration (M.B.A.), Accounting and Finance
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