Gurkha Welfare Trust

Finance Assistant

Gurkha Welfare Trust

Finance Assistant

The Gurkha Welfare Trust Nepal-GWT(N) is the field arm of Gurkha Welfare Trust UK, a registered charitable Trust working particularly for the ex-Gurkha Veterans and their communities across Nepal. It is a charitable institution, established and registered in the UK in 1969. GWT(N) ensures that Gurkha veterans, their widows and their wider communities are able to live their lives with dignity. We achieve this primarily through the provision of financial, medical and community aid.

Finance Assistant

Views: 2203 | This job is expired 2 years, 4 months ago

Basic Job Information

Job Category : Accounting / Finance
Job Level : Mid Level
No. of Vacancy/s : [ 1 ]
Employment Type : Full Time
Job Location : Pokhara
Offered Salary : NRs. 90,316.00 Monthly
Apply Before(Deadline) : Dec. 13, 2021 23:55 (2 years, 4 months ago)

Job Specification

Education Level : Graduate (Masters)
Experience Required : More than 2 years

Job Description

Essential Qualifications, Skills and/or Experience 

  • Must have a master’s degree in Business Studies or related field with preferably majoring in Finance
  • Minimum of two years of accounting or book-keeping experience in INGO/NGO, banks or reputed corporation.
  • Must have strong MS-Office Skills. 
  • Excellent English communicating and writing skills. 
  • Familiar with Income Tax Rules and Regulations of Nepal Job Responsibilities: 

Job Responsibilities

The position holder will be responsible for : 

  • Book-keeping with due consideration on the allocated budget under each heading in the accounting System 
  • Prepare and Upload Instructions in the system for Online Payment of various types of transactions ranging from Staff to Vendor and partners. 
  • Prepare Tax Accounts, Payment and Filing of TDS Forms and reconciliation of such statutory ledgers
  • Follow-up on outstanding advances/committed liabilities and settles them on timely manner ensuring all the expenses are recorded and paid for.
  • Check and Counter Verify the AWC’s Monthly Returns before entering the same in accounting system and arrange for fund top-up to them after duly verifying their requirements.

For more details, refer to the Job Description. Click here.


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