Job Description
Title: Deputy Manager/ Manager (Finance & Accounts)
Company Name: Amana Group
Vacancy: --
Age: 32 to 45 years
Location: Anywhere in Bangladesh
Salary: Negotiable
Experience:
∎ 4 to 6 years
∎ The applicants should have experience in the following business area(s):Group of Companies, Super store
Published: 23 Feb 2025
Education:
∎ Bachelor of Business Administration (BBA) in Accounting, Master of Business Administration (MBA) in Accounting
∎ CA CC and partly qualified Candidate will be preferred
∎ Skills Required: Customs Bond rules and regulation etc. (IAS and IFRS, Income Tax and Vat.
∎ CA CC and partly qualified Candidate will be preferred
∎ Skills Required: Customs Bond rules and regulation etc. (IAS and IFRS, Income Tax and Vat.
Requirements:
Additional Requirements:
∎ Age 32 to 45 years
Responsibilities & Context:
∎ Preparation of Financial Statements (Annual & Half Yearly Reports, Quarterly, & Monthly accounts).
∎ Meeting Corporate Account, Costing & Statutory auditing requirements by implementing functional systems. monitoring and achieving cost reduction.
∎ Overall control of all financial transactions and accountancy matters. including audit, systems.
∎ Maintain and administer company accounts. cash and bank transactions, receipt and payment statement, cash and fund flow statement.
∎ Maintain Receipts & Payment Vouchers, Journal Voucher, Cash Book, General Ledger, Bank Book, Bill Register, Debtors & Creditors Ledger. Party Payment Registers, and Empeoples Register.
∎ Calculation of VAT & AIT & ensure proper treatment of them into Accounts.
∎ Monitor the Tax & VAT related matters and maintain liaison with Tax & VAT authorities for settlement of related issues and also ensure compliance with laws. Act as an adviser to management in taking decision on Bank, Tax, Regulatory matters.
∎ Maintain external relationships with Govt. & Other Regulatory Bodies including RJSC, BOI, NBR, TAX & VAT Authority, Bank & Other Financial Institutes, External & Internal Auditors.
∎ Manage the capital request and budgeting process.
∎ Supervise and guide directly all activities related to the Accounts & finance of the organization.
∎ Oversee the approval and processing of revenue, expenditure, department budgets, and to plan, develop, direct, control and analyze all accounting and financial statements, financial reports, special analysis, and information reports so as to review operational issues impacting the company and to pinpoint the weak areas.
∎ Preparation of all types of foreign LC.
∎ Analyzed product costing.
∎ Annual corporate Tax Return filling, Monthly withholding tax and VAT Return and Individual Tax Return Submission.
∎ Periodical accounting & adjusting entries for preparation of Financial Statements.
∎ Team work build up.
∎ Any other task assigned by management.
∎ Preparation of Financial Statements (Annual & Half Yearly Reports, Quarterly, & Monthly accounts).
∎ Meeting Corporate Account, Costing & Statutory auditing requirements by implementing functional systems. monitoring and achieving cost reduction.
∎ Overall control of all financial transactions and accountancy matters. including audit, systems.
∎ Maintain and administer company accounts. cash and bank transactions, receipt and payment statement, cash and fund flow statement.
∎ Maintain Receipts & Payment Vouchers, Journal Voucher, Cash Book, General Ledger, Bank Book, Bill Register, Debtors & Creditors Ledger. Party Payment Registers, and Empeoples Register.
∎ Calculation of VAT & AIT & ensure proper treatment of them into Accounts.
∎ Monitor the Tax & VAT related matters and maintain liaison with Tax & VAT authorities for settlement of related issues and also ensure compliance with laws. Act as an adviser to management in taking decision on Bank, Tax, Regulatory matters.
∎ Maintain external relationships with Govt. & Other Regulatory Bodies including RJSC, BOI, NBR, TAX & VAT Authority, Bank & Other Financial Institutes, External & Internal Auditors.
∎ Manage the capital request and budgeting process.
∎ Supervise and guide directly all activities related to the Accounts & finance of the organization.
∎ Oversee the approval and processing of revenue, expenditure, department budgets, and to plan, develop, direct, control and analyze all accounting and financial statements, financial reports, special analysis, and information reports so as to review operational issues impacting the company and to pinpoint the weak areas.
∎ Preparation of all types of foreign LC.
∎ Analyzed product costing.
∎ Annual corporate Tax Return filling, Monthly withholding tax and VAT Return and Individual Tax Return Submission.
∎ Periodical accounting & adjusting entries for preparation of Financial Statements.
∎ Team work build up.
∎ Any other task assigned by management.
Skills & Expertise:
Compensation & Other Benefits:
∎ T/A, Mobile bill, Provident fund
∎ Salary Review: Yearly
∎ Lunch Facilities: Partially Subsidize
∎ Festival Bonus: 2
Workplace:
∎ Work at office
Employment Status: Full Time
Job Location: Anywhere in Bangladesh
Company Information:
∎ Amana Group
∎ Corporate Office: Amana Business Centre, House# 6, Road# 7/D, Sector# 09, Uttara, Dhaka-1230.
Head Office: Amana Saleha Garden, 90 Sagorpara, Ghoramara, Boalia, Rajshahi-6100.
∎ We have varieties business like Chain Super Shop, Food and Consumer, Agro Chemicals, Real Estate, Developer, National & International Trading, Garments & Buying House, Export & Import, Packaging etc.
Address::
∎ Corporate Office: Amana Business Centre, House# 6, Road# 7/D, Sector# 09, Uttara, Dhaka-1230.
Head Office: Amana Saleha Garden, 90 Sagorpara, Ghoramara, Boalia, Rajshahi-6100.
∎ We have varieties business like Chain Super Shop, Food and Consumer, Agro Chemicals, Real Estate, Developer, National & International Trading, Garments & Buying House, Export & Import, Packaging etc.
Read Before Apply: Please apply only who are fulfilling all the requirements of this job
Application Deadline: 28 Feb 2025
Category: Accounting/Finance