Preparing, checking and verification of all kinds of vouchers
Maintaining and verification of sales, purchase and stock registers
Checking and filling E-Vat, E-Excise Returns
Maintaining the cash and bank book for preparing daily cash reports
Verification and reconciliation of bank statements and advices
Assisting the auditors in internal and tax audit
Handling complain from government offices in addition to handling legal issues related to accounting
Making necessary arrangements for VAT, excise and customs refund
Preparing report of outstanding debtors and creditors and their reconciliation
Preparing the monthly report (as per requirement) for submitting to management
Maintaining and updating various loans (TR/STL/OD/MTL) borrowed by the company and checking and calculating the interest of each
Preparing the balance sheet, income statements and cash flow statements on bi-monthly basis
Giving monthly reports to management about deviations as compared to standards set for selling price, purchase price, bank charges, insurance premiums, transportations, and so on.
Preparing annual files of all the necessary documents required in tax/anusandhan audit immediately after the completion of auditor’s audit based on documents asked in previous year i.e. year assessed
Pre-planning for books management as per rules of the government so that the tax write backs are kept minimum
Performing semi annual internal audit of all the responsible companies by travelling to the necessary companies
Taking necessary backups of all the accounting files and folders on a weekly basis
Preparing, monitoring and controlling the financial budgets
At least Bachelors degree with specialization in Accounts, Finance or in any related field
Good mathematical and calculation skills
Good analytical skill to solve problems
Good interpersonal skills for dealing with people from banks and government offices
Good knowledge of Generally Accepted Accounting Principles
Good knowledge of accounting such as journal, ledger, reconciliation, keeping voucher and financial statements
Good knowledge of finance such as cash flow, capital budgeting, ratio analysis etc.
Good knowledge of VAT, tax, TDS, production management and government policies
Sound knowledge on banking procedures and insurance
Sound knowledge of MS Office and Internet
Proficient in using Swastik gold software
Knowledge on ERP system
Should be good in presenting numerical data
Should have patience and ability to follow instructions
employment@mcnepal.com
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