Mahavir Shree International P Ltd.

Associate Reconciliation Employee

Mahavir Shree International P Ltd.

Associate Reconciliation Employee

Associate Reconciliation Employ…

Mahavir Shree International P Ltd.

Kathmandu
Key Skills: Accounting Software Tax Law Financial Regulations Association Of Chartered Certified Accountants (Acca) Bank Statements

Associate Reconciliation Employee

Views: 329 | Apply Before: 1 week, 6 days from now

Basic Job Information

Job Category : Accounting / Finance
Job Level : Mid Level
No. of Vacancy/s : [ 1 ]
Employment Type : Full Time
Job Location : Kathmandu
Apply Before(Deadline) : Jul. 13, 2024 23:30 (1 week, 6 days from now)

Job Specification

Education Level : Under Graduate (Bachelor)
Experience Required : Not Required
Professional Skill Required : Accounting Software Tax Law Financial Regulations Association Of Chartered Certified… Bank Statements

About the job

MSIPL is a diversified technologies company involved in the representation, distribution, integration, manufacturing, installation, repair and service. MSI offers a broad range of services to complement its business using a variety of sources. These services include Design, Engineering, Procurement, Supply, Fabrication, Assembly, Testing, Inspection, Quality Control, Installation, Repair, Maintenance, Overhaul, Start-Up, Commissioning, Training, Warranty and After-Sales Spare Parts and Service Agreements.

Job Title: Associate Reconciliation Employee 

Department: Finance 

Location: Sinamangal, Kathmandu Nepal 

Type: Full-time 

Reports To: Finance Manager 

Job Summary: 

As a Reconciliation Employee in our Finance Department, you will be responsible for ensuring the accuracy and integrity of financial data through meticulous reconciliation processes. This role requires strong attention to detail, analytical skills, and the ability to work effectively with financial systems and documents. You will collaborate closely with various teams to resolve discrepancies and contribute to the overall financial transparency and compliance of our projects.

Key Responsibilities:

  • Perform daily, weekly, and monthly reconciliations of financial transactions, including bank statements, general ledger accounts, and project accounts.
  • Identify and investigate discrepancies or variances in financial data and work with relevant teams to resolve issues promptly.
  • Prepare and maintain accurate records and documentation related to reconciliations and adjustments.
  • Assist in the preparation of financial reports, ensuring compliance with company policies and regulatory requirements.
  • Collaborate with internal teams (e.g., project managers, procurement) to validate and reconcile project expenses and revenue.
  • Participate in audits and provide necessary support by preparing schedules and reconciliations as required.
  • Contribute to process improvements in reconciliation procedures to enhance efficiency and accuracy.
  • Stay updated with industry standards, best practices, and regulatory requirements related to financial reconciliation.

Requirements:

  • Bachelor’s degree in Accounting, Finance, or a related field.
  • Proven experience in financial reconciliation or a similar role, preferably in an accounting concept. 
  • Professional certification at ACCA, CPA, and semi-qualified CA or working towards certification is a plus.
  • Knowledge of VAT & Nepalese tax laws and regulations.
  • Experience with ODOO ERP System is preferable. 
  • Strong understanding of accounting principles and financial regulations.
  • Proficiency in using accounting software and MS Office, particularly Excel.
  • Excellent analytical skills with the ability to identify and resolve discrepancies.
  • Ability to work independently and collaboratively in a team-oriented environment.
  • Strong organizational skills and attention to detail. 

To apply for the job, you can either apply directly through the Link provided or email your CV to [email protected].

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