Job Description
- Verify, allocate, post and reconcile transactions
- Ensure accurate and timely preparation of monthly, quarterly and year end closingÂ
- Ensure accurate and timely processing of positive pay transactions
- Ensure that monthly and quarterly Bank Compliance Reports are generated in a timely and accurate mannerÂ
- Coordinate with internal and external auditors for timely year-end audit
- Prepare all the required detail headings of financial statement to prepare Annual Financial Report
- Collect Bank statement from concerned Bank and Prepare Bank Reconciliation Statement
- Perform overall Book Keeping related activities
- Handle petty cash.
Job Specification
- Prior experience in the related field
- Thorough knowledge of basic accounting procedures and principles
- Experience with creating financial statements
- Experience with general ledger functions and the month-end/year end close process
- Excellent accounting software user and administration skills
- Accuracy and attention to detail
- Ability to perform multitask and meet deadlines
- Fluency in written and spoken English
- Bachelor degree in Accounting, Finance or relevant.
This Job is expired. The Company is no longer accepting applications for this position.
Industry Type
Trading / Import / Export
Location
2nd FLoor, 'D' Block, Four Square Building, Naxal
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