Job Description
Title: Manager - Head of Accounts and Finance
Company Name: TST White House Ltd.
Vacancy: 1
Age: at least 27 years
Location: Dhaka
Salary: Negotiable
Experience:
∎ At least 7 years
∎ The applicants should have experience in the following business area(s):Trading or Export/Import, Real Estate, Developer
Published: 18 Jul 2024
Education:
∎ Master of Business Administration (MBA) in Finance
∎ Master of Business Administration (MBA) in Accounting, Finance, or a related field.
∎ Professional accounting certification (e.g., ACCA, CA, CMA) is a plus.
∎ Previous experience in managing VAT, TAX, and AIT compliance.
∎ Experience in handling banking correspondence and financial transactions.
∎ Master of Business Administration (MBA) in Accounting, Finance, or a related field.
∎ Professional accounting certification (e.g., ACCA, CA, CMA) is a plus.
∎ Previous experience in managing VAT, TAX, and AIT compliance.
∎ Experience in handling banking correspondence and financial transactions.
Requirements:
Additional Requirements:
∎ Age at least 27 years
Responsibilities & Context:
∎ Overview: We are seeking an experienced and detail-oriented Asst. Manager - Accounts to join our finance team. The ideal candidate will be responsible for overseeing all aspects of the company's financial operations, including regular accounting, tax compliance, financial transactions monitoring, petty cash management, banking correspondence, and bill processing.
∎ Key Responsibilities:Regular Accounting: Maintain accurate and up-to-date financial records for the company. Prepare financial statements, reports, and reconciliations. Ensure compliance with accounting standards and regulations.
∎ VAT, TAX, AIT Compliance: Manage and oversee VAT, TAX, and AIT (Advance Income Tax) compliance for the company. Prepare and submit all necessary tax returns and documentation. Stay updated on changes in tax laws and regulations to ensure compliance.
∎ Monitor Financial Transactions: Monitor and review all types of financial transactions to ensure accuracy and completeness. Implement and maintain internal controls to safeguard company assets. Identify and resolve discrepancies in financial records.
∎ Day-to-Day Petty Cash Management: Manage and oversee the company's petty cash fund. Record and reconcile petty cash transactions on a daily basis. Ensure proper documentation and authorization for petty cash expenses.
∎ Banking Correspondence: Handle all banking activities, including deposits, withdrawals, and account reconciliations. Maintain relationships with bank representatives to address any banking issues or concerns. Prepare and manage all banking documents and records.
∎ Bill Checking and Processing: Review and verify the accuracy of bills and invoices received by the company. Prepare and process bills for payment in a timely manner. Ensure proper documentation and authorization.
∎ Overview: We are seeking an experienced and detail-oriented Asst. Manager - Accounts to join our finance team. The ideal candidate will be responsible for overseeing all aspects of the company's financial operations, including regular accounting, tax compliance, financial transactions monitoring, petty cash management, banking correspondence, and bill processing.
∎ Key Responsibilities:Regular Accounting: Maintain accurate and up-to-date financial records for the company. Prepare financial statements, reports, and reconciliations. Ensure compliance with accounting standards and regulations.
∎ VAT, TAX, AIT Compliance: Manage and oversee VAT, TAX, and AIT (Advance Income Tax) compliance for the company. Prepare and submit all necessary tax returns and documentation. Stay updated on changes in tax laws and regulations to ensure compliance.
∎ Monitor Financial Transactions: Monitor and review all types of financial transactions to ensure accuracy and completeness. Implement and maintain internal controls to safeguard company assets. Identify and resolve discrepancies in financial records.
∎ Day-to-Day Petty Cash Management: Manage and oversee the company's petty cash fund. Record and reconcile petty cash transactions on a daily basis. Ensure proper documentation and authorization for petty cash expenses.
∎ Banking Correspondence: Handle all banking activities, including deposits, withdrawals, and account reconciliations. Maintain relationships with bank representatives to address any banking issues or concerns. Prepare and manage all banking documents and records.
∎ Bill Checking and Processing: Review and verify the accuracy of bills and invoices received by the company. Prepare and process bills for payment in a timely manner. Ensure proper documentation and authorization.
Skills & Expertise:
Compensation & Other Benefits:
∎ T/A, Mobile bill, Tour allowance
∎ Lunch Facilities: Partially Subsidize
∎ Salary Review: Yearly
∎ Festival Bonus: 2
Workplace:
∎ Work at office
Employment Status: Full Time
Gender:
∎ Only Male
Job Location: Dhaka
Company Information:
∎ TST White House Ltd.
∎ H-12/A, R-110. Gulshan-2
Address::
∎ H-12/A, R-110. Gulshan-2
Read Before Apply: Please apply only who are fulfilling all the requirements of this job
Application Deadline: 24 Jul 2024
Category: Accounting/Finance