26/07/2021
Job Context
We are looking for a dynamic and self-driven professional for our Corporate Head Office Accounts & Finance department as Executive - Accounts & Finance. The position Executive - Accounts & Finance" will play a leading role to handle Accounts & Finance related tasks of the Company.
Job Responsibilities:
Oversee the Accounts Department.
Validate and enhance the system(s) to maintain all accounting documents, financial documents, all data, delivery order/ challan, receipt voucher, expenditure voucher, etc.
Check all kinds of bills, vouchers & records such as cash book, ledger book, accounts, payroll etc. through proper channels.
Liaise with the Internal Audit Department.
Provide guidance to the Commercial Department.
To coordinate with other departments regarding all related to or affecting the financial position or activities of the company.
Lead the overall financial management to achieve the company's short and long-term financial goals.
Engage in the activities related to the Finance Department such as budgeting and forecasting, cost management, CapEx management, cash flow management, cost and profit analysis, etc.
Prepare reliable and credible Actual and forecasting reports on a regular basis and participate to develop operational strategies.
Obtain, analyze and evaluate financial reports such as income statement, balance sheet, cost sheet, etc.
Lead to prepare reports to reflect the revenue, outstanding, collection report, quarterly / annual processes & deliver directly to the Management.
Control and evaluate the organization's fund-raising plans and capital structure.
Liaise with departmental heads across the business in supporting their financial activities and provide adequate guidance.
Maintain professional liaise with banks and other financing institutions.
Maintain professional liaise with any relevant Government bodies, authorities and/or organizations.
Ensure that financial discipline is maintained in the organization effectively and efficiently through compliance with Statutory regulations.
Ensure bank payments, post monthly bank reconciliations for all the accounts, verify accuracy of bank statements and resolve questions or problems.
Liaise with the TAX department and advise on TAX and VAT planning.
Employment Status
Full-time
Workplace
Work at office
Educational Requirements
Master of Business Administration (MBA) in Accounting
M.com/MBA Major in Accounting/Finance
Experience Requirements
4 to 8 year(s)
Excellent management leadership skills
Conceptual, analytical, documentation and presentation skills
In-depth understanding of operational issues and policy work at state, national and international levels
Sound and up-to-date knowledge of development concepts, methodologies and techniques including demonstrated expertise
Job Location
Dhaka
Compensation & Other Benefits
As Per Company Policy