Kalinchowk Darshan

Account Officer

Kalinchowk Darshan

Account Officer

Kalinchowk Darshan Ltd is a public company having its registered office at Gaushala, Kathmandu and site office at Kuri, Dolakha. It has been operating cable car service (approx 1000 m) at foothill of famous Kalinchowk Bhagawati Temple . i.e. from Kuri village to Kalinchowk Bhagawati Temple since 2075 B.S . It was established in 2071 B.S. with the aim to promote tourism in the country specially in Dolakha.

Account Officer

Views: 949 | Apply Before: 1 week, 1 day from now

Basic Job Information

Job Category : Accounting / Finance > Corporate accounting
Job Level : Mid Level
No. of Vacancy/s : [ 1 ]
Employment Type : Full Time
Job Location : Gaushala, kathmandu
Offered Salary : NRs. 25,000 - 30,000 Monthly
Apply Before(Deadline) : Mar. 25, 2025 23:55 (1 week, 1 day from now)

Job Specification

Education Level : Under Graduate (Bachelor)
Experience Required : More than or equal to 1 year
Professional Skill Required : Financial Accounting Work Under Pressure Fast Learner VAT (Value Added Tax)
Other Specification

Qualifications & Requirements:

  • Bachelor’s degree in Accounting, Finance, or a related field.
  • Proficiency in Tally software is a must.
  • Strong Microsoft Excel skills (including formulas, VLOOKUP, Pivot Tables, etc.).
  • Minimum 1 years of accounting experience in a similar role.
  • Excellent analytical, problem-solving, and multitasking abilities.
  • Strong understanding of financial principles, tax laws, and regulations.


Job Description

Kalinchowk Darshan Ltd. is seeking a highly skilled and proactive Accountant to join our team. The selected candidate will play a key role in managing daily accounting operations, ensuring financial accuracy, and supporting various financial functions within our organization.

Key Responsibilities:

  • Record all financial transactions accurately and comprehensively in Tally or relevant accounting software, maintaining strict adherence to accounting principles and standards.
  • Maintain accurate and up-to-date daybooks, including the Cash Book and Bank Book, ensuring all entries adhere to organizational standards and regulatory requirements. 
  • Assist in preparation of TDS and VAT returns and file with tax authority in time.
  • Assist in preparation of monthly, quarterly and Annual reports and filing with the regulatory authority.
  • Manage Cash and Bank transactions effectively.
  • Maintain a meticulous expenditure file, substantiated with appropriate documentation and receipts, to support financial audits and reporting requirements.

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