Financial Controller
Buddha Maya Garden Hotel

Located in a calm and serene area of the Lumbini World Heritage Garden..

Located in a calm and serene area of the Lumbini World Heritage Garden, the Buddha Maya Garden Hotel and Resort lies just over five minutes walk from the main temples of Lumbini.

Wake up to the sound of birdsong and spiritual hymns, and take a morning walk through the sacred gardens enjoying the peaceful atmosphere, which is highly conducive to meditation and reflection.

Buddha Maya Garden has comfortable rooms, and friendly, knowledgeable staff who can help you plan your visit to the magnificent monuments and monasteries and the fascinating nearby archaeological ruins.

Buddha Maya Garden Hotel and Resort is managed by the famous Kathmandu Guest House, the Asia’s leading budget hotel with 35 years of experience in the travel industry in Nepal.

Financial Controller

Views: 802 | This job expired 5 months ago

Basic Job Information

Job Category : Accounting / Finance
Job Level : Mid Level
No. of Vacancy/s : [ 1 ]
Employment Type : Full Time
Job Location : Kathmandu, Nepal
Offered Salary : Negotiable
Apply Before(Deadline) : Feb. 18, 2019 23:55 (5 months ago)

Job Specification

Education Level : Bachelor
Experience Required : More than or equals to 2 years
Other Specification
  • Relevant qualification in Finance or Economics/Business Administration
  • Previous experience in hotel operations
  • Great leadership and organizational skills
  • Energetic, driven and positive
  • Ability to work under pressure
  • Flexibility to respond to a range of different work situation


Job Description

  • Prepare financial statements, business activity reports, and forecasts
  • Monitor financial details to ensure that legal requirements are met
  • Supervise Accountants
  • Review company financial reports and seek ways to reduce costs
  • Analyze market trends to find opportunities for expansion or for acquiring other companies
  • Help management make financial decisions
  • Directs the preparation of financial reports that summarize and forecast the organization's financial position, such as income statements, balance sheets, and analyses of future earnings or expenses
  • In charge of preparing special reports required by governmental agencies that regulate businesses. Oversee the accounting, audit, and budget departments
  • Oversee the credit business. Set credit-rating criteria, determine credit ceilings, and monitor the collections of past-due accounts.
  • Monitors and controls the flow of cash that comes in and goes out of the company to meet the company's business and investment needs. For example, they must project cash flow (amounts coming in and going out) to determine whether the company will not have enough cash (and will need a loan), or will have more cash than needed (and can invest some of its money)
  • Controls financial risk by using hedging and other strategies to limit or offset the probability of a financial loss or a company’s exposure to financial uncertainty
  • Decides how best to limit a company’s losses by obtaining insurance against risks such as the need to make disability payments for an employee who gets hurt on the job, and any costs imposed by a lawsuit against the company
  • Prepares daily MIS report, Trial, P/Balance sheet, S/Creditor, Debtor & Food Cost Report and present to BOD
  • Prepares Company Bank Balance and share with BOD
  • Accept VAT and PAN bill with purchase order & Standard purchase order with approval of Resident Manager
  • Reject all estimate bill & Personal nature Bill


This job has expired.

Job Action

TO APPLY: For this job, please follow the applying procedure.


Register Now

Similar Jobs

job_detail_page
Search, Apply & Get Job: FREE