AGM/DGM-Finance & Accounts

Job Description

Title: AGM/DGM-Finance & Accounts

Company Name: A Leading Manufacturing Company

Vacancy: 1

Location: Dhaka

Salary: Negotiable

Experience:
∎ At least 10 years
∎ The applicants should have experience in the following business area(s):Manufacturing (FMCG), Manufacturing (Light Engineering and Heavy Industry)

Published: 28 May 2025

Education:
∎ Master of Business Administration (MBA) in Accounting, Master of Commerce (MCom) in Accounting
∎ MBA/Masters in Finance & Accounts
∎ Qualified Chartered Accountant (FCA) or Cost Accountant (FCMA).
∎ Master of Business Administration (MBA) in Accounting, Master of Commerce (MCom) in Accounting
∎ MBA/Masters in Finance & Accounts
∎ Qualified Chartered Accountant (FCA) or Cost Accountant (FCMA).

Requirements:

Additional Requirements:
∎ Exceptional analytical and problem-solving skills.
∎ Extensive knowledge of financial and tax regulations in Bangladesh.
∎ Strong leadership, communication, and negotiation skills.
∎ Proven experience in strategic planning, financial analysis, and corporate finance.
∎ Proficiency in financial management software.
∎ Exceptional analytical and problem-solving skills.
∎ Extensive knowledge of financial and tax regulations in Bangladesh.
∎ Strong leadership, communication, and negotiation skills.
∎ Proven experience in strategic planning, financial analysis, and corporate finance.
∎ Proficiency in financial management software.

Responsibilities & Context:
∎ Drive the company’s financial planning and strategy.
∎ Monitor and manage budgets, forecasts, and financial plans.
∎ Support strategic planning, investments, and long-term financial decision-making.
∎ Submit annual business plan reports and conduct performance reviews.
∎ Analyze financial data for decision-making support.
∎ Conduct cost-benefit and profitability analyses.
∎ Identify areas for cost reduction and increased operational efficiency.
∎ Oversee preparation of financial statements (P&L, Balance Sheet, Cash Flow).
∎ Ensure timely and accurate financial reporting.
∎ Prepare monthly, quarterly, half-yearly, and statutory financial reports.
∎ Ensure compliance with applicable laws, financial regulations, and company policies.
∎ Ensure compliance with statutory laws and financial regulations.
∎ Ensure robust and effective internal control systems are in place.
∎ Develop and implement policies for accounting, internal control, and financial reporting.
∎ Ensure adequate cash flow to meet the organization’s needs.
∎ Manage day-to-day company cash flow and banking operations.
∎ Perform risk management by analyzing liabilities and investments.
∎ Develop investment strategies considering cash and liquidity risks.
∎ Identify and mitigate financial risks proactively.
∎ Take initiatives to improve operational efficiency, control overheads, and optimize working capital.
∎ Oversee tax planning, filing, and compliance for direct and indirect taxes.
∎ Handle tax audits and coordinate with external tax consultants.
∎ Coordinate and manage both internal and external audits.
∎ Maintain proper documentation and financial records in accordance with best practices.
∎ Ensure optimal use of ERP/accounting systems.
∎ Drive improvements in financial processes and automate workflows where possible.
∎ Prepare and present financial reports to senior management and stakeholders.
∎ Develop and maintain strong relationships with bankers, auditors, and regulatory authorities (e.g., Tax, VAT).
∎ Support profitability analysis, product pricing, project costing, budgeting, and MIS reporting.
∎ Supervise and mentor the finance and accounts team to enhance productivity and compliance.
∎ Perform any other tasks assigned by the management related to the role.
∎ 1. Financial Planning & Strategy
∎ Drive the company’s financial planning and strategy.
∎ Monitor and manage budgets, forecasts, and financial plans.
∎ Support strategic planning, investments, and long-term financial decision-making.
∎ Submit annual business plan reports and conduct performance reviews.
∎ Analyze financial data for decision-making support.
∎ Conduct cost-benefit and profitability analyses.
∎ Identify areas for cost reduction and increased operational efficiency.
∎ 2. Financial Reporting & Compliance
∎ Oversee preparation of financial statements (P&L, Balance Sheet, Cash Flow).
∎ Ensure timely and accurate financial reporting.
∎ Prepare monthly, quarterly, half-yearly, and statutory financial reports.
∎ Ensure compliance with applicable laws, financial regulations, and company policies.
∎ Ensure compliance with statutory laws and financial regulations.
∎ Ensure robust and effective internal control systems are in place.
∎ Develop and implement policies for accounting, internal control, and financial reporting.
∎ 3. Cash Flow, Treasury & Risk Management
∎ Ensure adequate cash flow to meet the organization’s needs.
∎ Manage day-to-day company cash flow and banking operations.
∎ Perform risk management by analyzing liabilities and investments.
∎ Develop investment strategies considering cash and liquidity risks.
∎ Identify and mitigate financial risks proactively.
∎ Take initiatives to improve operational efficiency, control overheads, and optimize working capital.
∎ 4. Taxation & Audit
∎ Oversee tax planning, filing, and compliance for direct and indirect taxes.
∎ Handle tax audits and coordinate with external tax consultants.
∎ Coordinate and manage both internal and external audits.
∎ Maintain proper documentation and financial records in accordance with best practices.
∎ 5. ERP, Systems & Process Improvement
∎ Ensure optimal use of ERP/accounting systems.
∎ Drive improvements in financial processes and automate workflows where possible.
∎ 6. Stakeholder Management
∎ Prepare and present financial reports to senior management and stakeholders.
∎ Develop and maintain strong relationships with bankers, auditors, and regulatory authorities (e.g., Tax, VAT).
∎ Support profitability analysis, product pricing, project costing, budgeting, and MIS reporting.
∎ 7. Leadership & Miscellaneous
∎ Supervise and mentor the finance and accounts team to enhance productivity and compliance.
∎ Perform any other tasks assigned by the management related to the role.


Skills & Expertise:

Compensation & Other Benefits:
∎ T/A, Mobile bill, Tour allowance
∎ Salary Review: Yearly
∎ Lunch Facilities: Full Subsidize
∎ Festival Bonus: 2

Workplace:
∎ Work at office

Employment Status: Full Time

Job Location: Dhaka

Company Information:
∎ A Leading Manufacturing Company

Read Before Apply: Please apply only who are fulfilling all the requirements of this job

Application Deadline: 27 Jun 2025

Category: Accounting/Finance

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