Finance Business Analyst
Core
Own revenue and invoicing processes, ensuring billing accuracy, reconciliation, and financial control for a high-volume customer environment.
Role type
Finance Business Analyst (Billing & Reconciliation)
Builds
Accurate customer invoices, reconciled financial records, and clear audit trails for billing systems.
Domain
Financial Services / Aviation Catering
Required skills
Revenue analysis, billing process ownership, financial reconciliation, discrepancy investigation, root cause analysis, financial control design, ERP system navigation, large dataset analysis, audit support, process documentation
Preferred skills
Power BI, high-volume billing environment experience, customer portal management, financial controls design, accounting qualifications (ACCA/CIMA/ACA)
Technologies
Excel, ERP systems (Navision, ACH, PAXIA, Microsoft Dynamics), customer portals, billing platforms
Responsibilities
Take ownership of weekly invoicing and reconciliation; review billing data for accuracy; reconcile operational data, billing systems, and general ledger; investigate and resolve billing discrepancies and exceptions; identify revenue leakage and process errors; maintain audit trails; monitor disputed balances; map and document end-to-end billing processes; act as subject-matter expert for customer billing.
Seniority
Mid-Senior, hands-on IC