Title: Finance Control Officer (Sr. Executive / Asst. Manager Level)
Company Name: Sentry Security Services Ltd. (A Sister Concern of Sentry Group)
Vacancy: 1
Age: Na
Job Location: Dhaka
Salary: Negotiable
Experience:
Bachelor’s degree in Accounting, Finance, or related field (Master’s preferred).
Professional credentials such as CA/CMA/ACCA/CFA are a plus.
Experience
Minimum 3–5 years of experience in finance, accounting, auditing, or financial control roles.
Experience in service-based industries preferred (security services, facilities management, etc.).
Additional Requirements
Strong knowledge of accounting principles (BAS & IFRS basics).
Proficiency in accounting software and MS Excel (advanced formulas, pivot tables).
Understanding of tax compliance and audit processes in Bangladesh.
High attention to detail and accuracy.
Analytical and problem-solving mindset.
Strong communication skills (English & Bengali).
Ability to work independently and cross-functionally.
Integrity and confidentiality.
Accountability and proactive ownership.
Teamwork and collaboration.
Continuous learning and process improvement.
Job Context
we are going to hire a talented youth, energetic, professional, diversified male or female employee in its Accounts & Finance Team.
Job Responsibilities
Financial Control & Reporting
Ensure accurate recording of financial transactions in compliance with corporate policies and Bangladesh accounting standards.
Prepare periodic financial statements (monthly, quarterly, annual) and variance analysis.
Support month-end and year-end closing activities.
Analyze budget vs actual performance and provide insight on variances.
Internal Controls & Compliance
Develop, monitor, and enforce strong internal control procedures.
Conduct internal audits of financial processes to detect errors, waste, or fraud.
Ensure compliance with tax regulations, audit requirements, and statutory guidelines in Bangladesh.
Coordinate with external auditors during audits and follow-up on observations.
Budgeting & Forecasting
Assist in the annual budgeting process and rolling forecasts.
Collaborate with department heads to align budgets with strategic priorities.
Review budget proposals for accuracy and feasibility.
Cash & Treasury Management
Monitor cash flows and prepare cash flow forecasts.
Support treasury activities including fund disbursement, bank reconciliations, and daily cash monitoring.
Ensure accuracy of bank statements and resolve discrepancies.
Financial Analysis & Decision Support
Provide financial insights and recommendations to support managerial decision-making.
Evaluate financial performance of operations and prepare KPI dashboards.
Support pricing, cost control, and profitability analysis.
Documentation & Records
Maintain complete and up-to-date financial records and files.
Ensure supporting documentation is accurate, authorized, and archived.