Job Description
Title: Executive, Accounts (Cash Handling)
Company Name: Beautyology
Vacancy: 1
Age: 20 to 30 years
Job Location: Dhaka (Shyamoli)
Salary: Negotiable
Experience:
Published: 2025-11-17
Application Deadline: 2025-12-17
Education: - Bachelor of Business Administration (BBA) in Accounting
- Bachelor’s degree in Accounting, Finance, or a related field.
Requirements: Skills Required: Accounting,Accounts and Finance,Cash Management
Additional Requirements: - Age 20 to 30 years
- Only Male
- 1–3 years of experience in cash handling, accounting, or finance, preferably in retail, FMCG, or e-commerce.
- Strong knowledge of cash management procedures and basic accounting principles.
- Excellent numerical accuracy, attention to detail, and financial discipline.
- Proficiency in MS Excel, Google Workspace, and accounting/ERP software.
- Strong communication skills and ability to coordinate with multiple departments.
- High integrity, honesty, and a professional attitude toward financial responsibilities.
Responsibilities & Context: About Beautyology
BEAUTYOLOGY is one of Bangladesh’s fastest-growing skincare and wellness brands, combining innovation, integrity, and a customer-first approach. With a rapidly expanding product line and nationwide presence, we are setting new standards in the beauty and lifestyle industry through quality, professionalism, and operational excellence.
Our strength lies not only in our products but in our people, the driving force behind every milestone we achieve.
Why Join Beautyology?
At Beautyology, you’ll be part of a performance-driven environment that values strategy, efficiency, and collaboration. We foster a culture of growth, encourage new ideas, and reward results. Here, your expertise will directly shape the future of a fast-scaling brand that’s making a mark in the skincare sector of Bangladesh.
Job Purpose
The Executive, Accounts (Cash Handling) will manage all cash-related financial activities, ensuring accurate record-keeping, proper documentation, timely deposits, and smooth daily operations. This role requires a detail-oriented, honest, and highly responsible individual who can maintain financial accuracy, support audit requirements, and work closely with the finance team to ensure transparent accounting practices.
Key Responsibilities
Cash Management & Documentation
- Prepare and maintain daily cash books, vouchers, and transaction records accurately.
- Ensure proper maintenance and safe filing of all cash-related vouchers and supporting documents.
- Verify cash transactions and ensure all entries are updated in the accounting system.
Bank Transactions & Reconciliation
- Deposit and withdraw company funds from the bank as required.
- Maintain proper cash balance at the end of each day.
- Prepare daily cash reconciliation statements to match records with physical cash.
Reporting & Coordination
- Prepare and submit daily, weekly, and monthly cash reports to the Head of Accounts.
- Coordinate with internal teams to ensure timely collection, payment, and support for operational activities.
- Assist in maintaining accuracy and transparency in overall financial processes.
Compliance & Audit Support
- Ensure all cash transactions follow company policies and financial guidelines.
- Support internal and external audits by providing required documents and reports.
- Maintain strict confidentiality and integrity regarding all financial information.
Job Other Benifits: - Salary Review: Yearly
- Festival Bonus: 2
Attractive salary package (based on experience and skills)
Snacks and refreshment facilities
Weekly holidays and festival bonuses
Annual leave, casual leave, and sick leave
Performance-based increments and growth opportunities
Friendly and inclusive work environment
Employment Status: Full Time
Job Work Place: 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