Khalti is a mobile wallet, payment gateway & service provider in Nepal. Launched in January 2017, Khalti is one of the leading online payment solution in Nepal. It allows users to pay for a range of services like basic utility payments, hotel bookings, movie and domestic flight tickets, events and many more.
We offer payment solution to over hundreds of merchants across Nepal and provide seamless payments using ebanking, smart banking, cards, and wallet. Being not just limited to mobile app users, Khalti has more than 8000 POS and Agent Network providing Khalti services to end users.
Khalti is home to some of the brightest minds in the country, which includes a team of highly skilled developers and interactive marketers. Our solution-oriented approach makes us reliable for any and all kind of service you might require from Khalti with the best user experience possible.
Our goal is to simplify lives of people by bringing financial inclusivity to every individual in Nepal and take the payment industry from offline to online through best practices.
Khalti is a mobile wallet, payment gateway & service provider in Nepal. Launched in January 2017, Khalti is one of the leading online payment solution in Nepal. It allows users to pay for a range of services like basic utility payments, hotel bookings, movie and domestic flight tickets, events and many more.
We offer payment solution to over hundreds of merchants across Nepal and …
Views: 2771 | This job is expired 3 years, 2 months ago
Job Category | : | Accounting / Finance |
Job Level | : | Top Level |
No. of Vacancy/s | : | [ 1 ] |
Employment Type | : | Full Time |
Job Location | : | Bakhundole, Lalitpur |
Offered Salary | : | Negotiable |
Apply Before(Deadline) | : | Mar. 03, 2022 23:55 (3 years, 2 months ago) |
Education Level | : | Graduate (Masters) |
Experience Required | : | More than or equal to 10 years |
Professional Skill Required | : | Public Relations Management Communication Risk Management Interpersonal Skills |
Degree in Chartered Accountancy
8-10 years of relevant experience
Prior experience in a financial institution preferred
Excellent communication and interpersonal skills
Excellent analytical and problem-solving skills
Proven ability to handle a large team
Make sound business decisions including when and how to pursue new lines of business, how to optimize existing client or merchant relationships, whether to invest in new revenue channels, how to optimize existing and new conversion funnels, and whether to pursue acquisitions.
Plan, implement, manage and run all the regular financial activities of a company, including business planning, budgeting, forecasting, and negotiations.
Deal with, and advise on tax-related compliance, ensuring compliance with tax legislation & policies
Oversee financial reporting, accounts, controls, taxation, audits, and regulatory compliance
Regularly assess organizational performance against both the annual budget and the company’s long-term strategy for growth
Derive Return on Assets (ROA), Earning Per Share, Return on Equity, Yield on Investment, Cost per Transaction, Cost Per Acquisition, Cost to Income Ratio, Non-Operating Income, Investment Portfolio Management, Expenses Coverage Ratio Return on Capital Employed (ROCE) and perform analysis based on the same
Manage sound internal controls, corporate governance, and statutory compliances, sharing reports with the Board and Audit and maintaining a high-quality governance environment
Oversee and Monitor Accounts and Book Management, BRS, Settlement, Recovery Ratio, Working Capital Management, and Admin Management
Carry out Income to Total Cost ratio analysis, Capital Planning/Input Optimization, Balance Sheet Management, EBIT, PAT, Investment Injection, and, Debt Management
Oversee the company’s financial activity liaising with internal and external auditors to ensure prudent accounting practices
Perform Business analysis for revenue maximization, track Growth Road Map, be responsible for MIS reporting, and be accountable for financial analysis during unit economics, vertical and horizontal business expansions, and fundraising
Ensure adequate assessment and mitigation of risk as well as compliance with applicable regulatory or other legal requirements.
Support strategic development and help enable its execution
Present accurate financial statements to the board and stakeholders
Monitor cash flows to ensure healthy liquidity with effective cash flow forecasting, planning and monitoring
Applying Procedure:
Interested candidates are requested to send their recently updated resume to [email protected] along with a cover letter mentioning their work and academic credentials.
Note: While sending your resume via mail please mention the position you are applying for.
OR,
This job has expired.