Job Description
Title: Assistant Manager (Accounts & Finance)
Company Name: NHT HOLDINGS LIMITED
Vacancy: 1
Age: 25 to 35 years
Job Location: Chattogram (Chattogram Sadar)
Salary: Negotiable
Experience:
- 5 to 8 years
- The applicants should have experience in the following business area(s): Real Estate, Developer
Published: 2024-09-18
Application Deadline: 2024-09-30
Education: - Master of Commerce (MCom)
- CA-CC from ICAB or part qualified from a reputed firm.
Requirements: - 5 to 8 years
- The applicants should have experience in the following business area(s): Real Estate, Developer
Skills Required: Expertise in tally software,Financial analysis and reporting,Inventory Control
Additional Requirements: - Age 25 to 35 years
- Only Male
Responsibilities & Context: - The position will oversee the general ledger, manage billing, and play a key role in transfer pricing. Collaborate with Treasury for charges, supervise payroll, ensure tax compliance, and contribute to budgeting. The role involves accurate financial reporting, reconciliation, and proactive participation in special projects assigned by the management.
- Manage all aspects of general ledger including analysis, reconciliations, and journal entries
- Manage the billing process according to specific contract terms and payment requisitions, allocating funds department-wise.
- Collaborate effectively with the Treasury Department to collect charges and receipts, assessing their impact on the Company's financials.
- Supervise and assist in Payroll and Payroll Taxes, including Certified and Government Payroll Forms.
- Ensure timely submission of all monthly, quarterly, and half-yearly tax and VAT-related filings to the National Board of Revenue (NBR).
- Manage the internal financial reporting process to streamline year-end preparation for external CA firm review. Work within the annual budget framework, including forecasting cash flow needs.
- Review calculations for expatriate employee tax reimbursement. Undertake special projects as assigned by the management.
- Preparation of Monthly MIS Report & Reconciliations.
- Managing cash flow and periodic cash flow reporting.
- Prepare and record LC related transactions with Goods in transit schedule until inventory valuation and transfer.
- GST Audit.
- Monitor Revenue, Bill booking and Receivable Management.
- Monitor Vendor Payments and reconciliations.
- Monitor Regular Bank Reconciliations.
- Ensure optimum usage of Funds.
- Perform other tasks assign by the top management or authority.
Job Other Benifits: Employment Status: Full Time
Job Work Place: Work at office
Company Information: Gender: Only Male can apply
Read Before Apply: Please apply only who are fulfilling all the requirements of this job
Category: Accounting/Finance