We are looking for an accounting asst. manager who Must have capable to interact with inter departments to resolve issues and capable of handling the company's accounts affairs.
Roles and Responsibilities:
- Preference will be given to candidates from food companies. Maintaining & coordinating day to day accounting records
including ERP Software entries & Ledger/Party ledger book.
- To proper maintenance sales, collection and accounts records with
the organization’s policies. Working closely with the ERP development team to update the
existing ERP system.
- Responsible for preparation of weekly & monthly cash flow
statements. Ensure compliance to rules and regulations of Income Tax, VAT and
Customs Act etc. Liaison with bank/financial institutions for procurement of
loan.
- Prepare or Check Bill/ Voucher/ Requisition/ Delivery Challan /any
other documents.
- Ensure All VAT & Tax is appropriately deducted, collected and
paid over on a timely basis. AIT/ VDS certificate provide to supplier.
- Check daily local purchase bills, petty cash and all types of
payments and receipts voucher. Check and verify inventory balance through performing periodic
physical counting.
- Maintenance of cash book, bill register, and different registers
related to Finance & Accounts.
- Monthly closing of Accounts and reporting to the management.
- To be responsible for arranging and depositing Cheques and
recording, preparation of Bank Reconciliation Statements.
- To ensure monthly financial reporting, monthly inventory report,
monthly cash reconciliation reports, trial balances, profit & loss
accounts, and other books of accounts, posting of daily vouchers in to Cash
Book & reconciliation etc.
- Provide accurate and timely financial information and reports to
facilitate the decision-making process.
- Provide monthly information and analysis for Strategic Management
Team.
- Provide analysis of cash flow, operating costs and variances. Manage accounts receivable and accounts payable. Responsible for credit assessment and credit control. Prepare budget according to requirements.
- Ability to exercise initiative and sound judgment and to react
with discretion under varying conditions.
- Responsible for preparation of Trial Balance, Profit & Loss
Accounts and Balance Sheet of the Company.
- Responsible for reconciling all bank accounts and cash book on daily,
weekly and monthly basis. Good command of MS Office, Internet browsing, email, and any
Accounting software.
- Any other tasks as assigned by the line manager and Top
Management.
Academic Qualifications:
- Bachelor of Business Administration (BBA)
- Concentration/Major: Accounting/Finance/Management
Professional Certifications:
- CACC Will get preference.
Others Requirements:
- Age: 25 - 35 years
- Gender: Male, Female
- Training/Course:
MS Office
- Area of Expertise:
Accounting and Finance
- Additional Requirements:
Ability to work independently, effectively direct and supervising team.
Must have experience in accounting based software especially Tally/ ERP.
Energetic, confident and proactive.
Ability to work effectively under stressful conditions.
Experience and Skills:
- 5 - 7
years
- Accounting and Finance
- Area of Business:
Food (Packaged)/Beverage, Group of Companies
Workplace:
Work at Office
Salary/Compensation:
Negotiable
Other Benefits:
- Festival Bonus: 2
- Salary Review: Yearly
- Tea & Coffee, Prayer Break, Mobile Credit, Leave Encasement
Last Date of Application:
22 Mar, 2025
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