Title: Manager- Finance & Accounts
Company Name: Astha Feed Industries Ltd
Vacancy: --
Age: At least 32 years
Job Location: Dhaka
Salary: Negotiable
Experience:
CACC
Job Purpose
The Manager – Accounts & Finance oversees daily financial accounting operations, internal controls, and transaction processing. This position leads the finance team in managing payables, inventory accounting, monthly reconciliations, and trial balance mapping, while preparing high-integrity financial statements and presentations for executive leadership and strategic decision-making.
Key Responsibilities
1. Transaction Review & Internal Controls
Review and approve day-to-day accounting transactions, vouchers, journal entries, and general ledger posts for accuracy and compliance with IAS/IFRS standards.
Ensure strict adherence to internal financial controls, approval matrices, and authorization limits across all operational activities.
Manage corporate bank accounts, fund movements, and daily cash flow management.
2. Payable & Cash Flow Management
Oversee Accounts Payable (AP) workflows, supplier payment schedules, and working capital optimization.
Review vendor reconciliations, purchase orders, and bill processing to maintain strong supplier relationships while managing cash flow effectively.
Monitor statutory compliance regarding tax, VAT, and withholding deductions on vendor payments.
3. Inventory & Cost Accounting Oversight
Review and reconcile inventory movements, raw material stocks, finished goods, and scrap across plant and warehouse locations.
Collaborate with factory and supply chain teams to perform physical inventory audits and address stock variances.
Monitor cost accounting activities, product costing, and cost variance analysis across manufacturing lines.
4. General Ledger, Reconciliation & Trial Balance Mapping
Direct monthly, quarterly, and annual ledger closing processes.
Ensure timely and precise reconciliation of bank statements, inter-company accounts, sub-ledgers, and main ledgers.
Perform continuous Trial Balance (TB) mapping, cleanup, and chart of accounts maintenance to ensure structural accuracy before reporting.
5. Financial Reporting & Executive Presentations
Prepare comprehensive monthly, quarterly, and annual Financial Statements (Balance Sheet, Profit & Loss, Cash Flow Statement, and Statement of Changes in Equity).
Structure and deliver executive financial presentations, financial analysis, variance commentary, and operational KPI updates for board and management reviews.
Coordinate internal, external, and statutory audits, facilitating smooth audit completion and resolving query notes.
. Leave Encashment