Daraz

Finance / Accounting Manager

Daraz

Finance / Accounting Manager

Finance / Accounting Manager

Basic Job Information

Job Category : Accounting / Finance
Job Level : mid
No. of Vacancy/s : [ 1 ]
Job Location : Kathmandu
Offered Salary : None
Apply Before(Deadline) : Oct. 26, 2014 00:00 (9 years, 8 months ago)

Job Specification

Education Level : Under Graduate (Bachelor)
Experience Required : Not Required
Other Specification
  • Knowledge of regulatory requirement (Tax, VAT, NRB Guidelines and Corporate law).
  • Knowledge of Financial Management and Accounting.
  • Good computer skills and outstanding knowledge of Excel
  • Good organizational skills and attention to details.
  • Able to work independently and keep track of all the issued advances.
  • Reconciliation of accounts and Treasury Management is must.
  • Willing to travel if required.
  • Fluent in English and Nepali.

You need to be creative, flexible and have a start-up spirit. You enjoy challenges and are hungry to make a difference in Nepalese Ecommerce.

Expect challenging tasks, lots of responsibilities, a modern working environment and a competitive salary/bonus package.

TO APPLY:

If you have what it takes, please send an email to [email protected] with the subject ‘Finance / Accounting Manager’, and the following document/information:

  • Resume (2 page max)
  • Cover letter
  • Earliest date you can start
  • Your expected salary

OR,


Job Description

  • The Finance/Accounting  Manager will work directly with the Country Manager to develop and implement Accounting Strategies and ensures smooth operation of Kaymu Nepal
  • Should expect responsibility of Financial Control and MIS function and coordinate with external parties (regulators and auditors)
  • Maintain a documented system of accounting policies and procedures
  • Manage the accounting of our expenses and revenues of all of our ventures, the daily management of cash in and out, file all expenses and revenues in accounting software (Tally for now and may be our own software in future), prepare interim reports and cash flow statements and to pay outstanding bills
  • Engage in benchmarking studies to establish areas of potential operational improvement
  • Manage the preparation of the company’s budget and assist management in the formulation of its overall strategic direction
  • Forecast cash flow positions, related borrowing needs, and ensure that sufficient funds are available to meet ongoing operational and capital investment requirements
  • Communication of the essentials, particularly in regard to presenting the results of analysis to management and recommend improvement activities

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