Title: Assistant General Manager (AGM) - Finance & Accounts
Company Name: Bangladesh Specialized Hospital Ltd.
Vacancy: --
Age: Na
Job Location: Dhaka
Salary: --
Experience:
Masters in Accounting or Finance (No 3rd class below 2.5 CGPA in academic career) with Certificate level or Professional level in ICAB / Business level in ICMAB with 10 years total job experience in which 4 years as a Manager/Sr. Manager in Accounts & Finance dept. (Having Experience in the same industry will get preference)
Extensive knowledge of financial reporting standards, corporate governance, and regulatory compliance.
Proven expertise in financial analysis, budgeting, and strategic financial planning
Bangladesh Specialized Hospital Ltd. was established with a vision to be a renowned organization at the leading edge of medicine, providing quality health care to meet our nation`s aspirations. A warm and friendly ambiance, high-quality medical services and personalized nursing care have been the hallmarks of our hospital. The overall value delivered through prompt access has resulted in a high level of satisfaction among our patients.
We are currently looking for energetic, dynamic and enthusiastic person for the mentioned position.
Job Responsibilities:
Financial Strategy : Develop and implement a comprehensive financial strategy aligned with the company`s long-term goals and objectives.
Financial Planning and Analysis : Lead the budgeting, forecasting, and financial planning processes; monitor performance against financial plans and provide relevant and timely information to the authority/board of directors
Risk Management : Identify financial risks, and ancillary non-financial risks associated with deploying and sourcing finances, develop metrics to rank those risks, and install measures to appropriately manage those risks.
Capital Management : Continually track investment opportunities in both physical and financial assets.
Financial Operations : Oversee accounting, payroll, taxation, book-keeping, and reporting. Implement structures and procedures to ensure completeness, accuracy, integrity, availability and security of financial records.
TAX & VAT : Execution of INCOME TAX, VAT. related works as per company requirements and executing relevant planning.
Cash Flow Management : Supervise the activities of financial management staff in monitoring cash flow, liquidity, and working capital.
Financial Reporting : Keep the Board of Directors informed of all matters relating to of the business`s performance on key financial metrics and drawing attention to important trends and opportunities that will maximize earnings and minimize risk.
Others :
Ensure that all financial transactions are handled and processed in accordance with the approved policies and procedures.
Ensure that the regulatory requirements of all statutory bodies are met as regards to all company financial affairs.
As per company policy but attractive packages will be offered for deserving candidate.
Provident Fund
Earn Leave
Yearly Increment
Subsidized Lunch/Dinner.
Health Benefit
Mobile Bill