• Ensure timely and accurate Management of Financial Reporting, which includes monthly results and quarterly board reporting in adherence to accounting standards and business policies to reflect true financial health of assets and business performance, which serves basis for finalization and smooth timely closure of annual statutory audited accounts, with no observations covering all regulatory and statutory risks. • Manage Funds Flow and Treasury Operations activities to ensure smooth payment processes, management & availability of funds to meet financial obligations, maintaining strong ties with banks and financial authorities, effective management of financial exposures i.e., FX risk, interest rate risk, liquidity risk etc. to reduce adverse financial impact to the business. • Help in project feasibility analysis and decision making. • Payable management to make the timely payment to vendors and ensuring the utilization of optimum funds. Receivable management to expedite collection of the AR timely basis. • Coach, engage, develop, and control team to ensure that they have necessary capability, skills, and motivation to deliver to agreed performance standards, operate within specified policies/ procedures and to establish a culture with high accountability and continual improvement orientation.
• Master of Business Studies (MBS), Master of Business Administration (MBA) • ACA/ FCA
• 6-8 years of experience in Accounting • At least 3-5 years of experience in Manufacturing Organization.
• Skills Required: Analytical ability, Excellent interpersonal skills, SAP
Full-time
Chattogram