Head of Accounts
Cashway Money Transfer

Cashway Money Transfer is Nepal based Money Transfer Company. It is registered at the Office of Company Registrar of Nepal under the Company Act 2063 having head office at Shanta Plaza, Ratopul, Kathmandu, Nepal. It is regulated and certified by the Central Bank of Nepal. It is formed primarily to offer remittance services in Nepal and promoted by well-known figures of the Nepalese Banking Industry and Nepalese Remittance Industry, carrying decades of experience with them in the related fields. It is emerging money transfer company committed to provide a reliable network of remittance solutions all over Nepal with a trade name “Cashway Money Transfer”. Our service allows Nepalese living overseas to send money to their relatives and friends in Nepal at much reliable and cost effective way than is currently being charged by the other operating Remittance Companies.

Head of Accounts

Views: 2505 | This job expired 2 months ago

Basic Job Information

Job Category : Accounting / Finance
Job Level : Senior Level
No. of Vacancy/s : [ 1 ]
Employment Type : Full Time
Job Location : Shanta Plaza,Ratopul,Kathmandu
Offered Salary : NRs. 35,000.00 - 50,000.00 Monthly
Apply Before(Deadline) : Jul. 15, 2019 23:55 (2 months ago)

Job Specification

Education Level : Bachelor
Experience Required : More than or equals to 3 years
Professional Skill Required : Business English Tally Ms Office English Verbal And Written Skills Good Communication Skills
Other Specification
  • Minimum Bachelor degree in Business, Accounts or Finance
  • 3 years experience of accounts or audit
  • Candidates with articleship experience preferred
  • Should be proficient with computers and including Tally
  • Should have good understanding of English Language
  • Strong interpersonal, supervisory and customer service skills required
  • Good computing skills (Should be familiar with Microsoft Office)
  • Comfortable handling and storing confidential financial information
  • Driving license holder (at least two wheeler)
  • Able and willing to correspond and deal with banks and overseas partners

Job Description

  • Keeping accounts up to date
  • Daily settlement and Bank Reconciliation
  • Correspondence with Principal companies and reconciliation 
  • Preparing of Financial Statements as required
  • General administrative duties
  • Should be able to prepare financial statements including Balance Sheets, Profit, and Loss, Cash Flow statements and budgets
  • Obtain and maintain a thorough understanding of the financial reporting and general ledger structure
  • Ensure an accurate and timely monthly, quarterly and year end close
  • Maintain accounting controls by following policies and procedures; complying with federal, state, and local financial legal requirements

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