Title: Assistant Manager– Finance & Accounts
Company Name: K & A Logistics Ltd.
Vacancy: 01
Age: Na
Job Location: Dhaka
Salary: Negotiable
Experience: --
Published: 2026-09-22
Application Deadline: 2026-10-22
Education:
Requirements: --
Skills Required:
Additional Requirements:
Responsibilities & Context:
Management Accounting & Financial Reporting
Prepare and provide accurate and timely management accounts and financial reports.
Monitor revenue recognition, expenditure recording and financial transactions to ensure accuracy and compliance with company policies.
Conduct financial analysis and provide relevant insights to support management decision-making.
Monitor cost and fund management and identify opportunities for improved financial efficiency.
Provide financial inputs on pricing, inventory control, operational costs and business performance.
Budgeting & Forecasting
Coordinate with relevant departments to prepare annual budgets and financial forecasts.
Monitor budget utilization and analyze budget versus actual performance.
Support management in strategic planning through financial analysis and forecasting.
Identify significant variances and recommend appropriate corrective actions.
Audit & Internal Controls
Coordinate with internal and external auditors during annual and other statutory audits.
Ensure timely preparation and submission of audit schedules, supporting documents and required information.
Ensure effective implementation and maintenance of internal financial controls.
Conduct periodic reviews, audits and spot checks to identify control gaps and streamline financial processes.
Follow up on audit observations and support implementation of corrective actions.
Taxation & Statutory Compliance
Ensure timely and accurate preparation and submission of tax returns and other statutory financial requirements.
Coordinate tax payments and maintain proper documentation and records.
Monitor changes in applicable tax and regulatory requirements and advise management accordingly.
Support effective tax planning and compliance to minimize risks, penalties and unnecessary financial exposure.
Financial Feasibility & Business Support
Conduct financial feasibility studies for new projects, investments and business initiatives.
Coordinate with relevant departments and external consultants, where required, to gather financial and operational information.
Prepare financial models, analysis and business cases for management review.
Provide financial recommendations and inputs for strategic business decisions.
Credit Control & Receivables Management
Monitor customer receivables and ensure timely collection of outstanding amounts.
Ensure adherence to the company's/group credit policy.
Review customer creditworthiness and provide relevant financial inputs regarding credit facilities or extensions.
Monitor overdue accounts and coordinate with relevant departments for timely recovery.
Support effective working capital and cash-flow management.
Cost & Inventory Management
Monitor operational and administrative costs and identify cost-control opportunities.
Review inventory-related financial information and support effective inventory control.
Analyze cost trends and provide recommendations to improve financial performance.
Ensure proper financial controls over inventory, expenses and operational transactions.
Team Coordination & Process Improvement
Coordinate effectively with Finance, Operations, Commercial, Procurement, HR and other departments.
Support and guide team members in completing assigned financial activities accurately and within deadlines.
Identify opportunities for process improvement, automation and increased efficiency.
Maintain high standards of ethics, confidentiality, accuracy and financial integrity.