Title: Sr. Manager- Accounts & Finance
Company Name: A leading Textile & RMG based organization at Chattogram
Vacancy: --
Age: 35 to 50 years
Job Location: Chattogram
Salary: Negotiable
Experience:
Experience: 10+ years in accounting & finance roles, with at least 3 years in a senior leadership position.
Academic qualification: Masters in Accounting/Finance or any other relevant degree from any reputed institute/university.
Professional qualification: Certified chartered accountants i.e., CA professionals with relevant leadership experience will be given preference.
Industry Experience: Preferably in Textile/Garments Manufacturing, FMCG, or similar industries.
Technical Skills: Strong knowledge of BFRS, taxation, ERP software, and financial modelling.
Regulatory Knowledge: Familiarity with Bangladesh’s financial laws, company regulations, and tax policies.
Job Context:
A leading Textile & RMG based organization at Chattogram is looking for a suitable candidate who has the necessary skills and experience to excel in a dynamic work environment. If you believe you have the right capacity to contribute to our team and to make a meaningful impact, you are encouraged to submit your application and join us in our journey to excellence.
Job Responsibilities:
1. Financial Management & Reporting:
Oversee the preparation of financial statements, including income statements, balance sheets, and cash flow statements.
Ensure accuracy and compliance with Bangladesh Financial Reporting Standards (BFRS).
Monitor financial performance, analyze variances, and recommend corrective actions.
Present financial reports to top management.
2. Budgeting & Cost Control:
Develop and manage annual budgets, ensuring alignment with company objectives.
Monitor expenses, identify cost-saving opportunities, and improve financial performance.
Implement cost control measures to optimize financial efficiency.
3. Taxation & Compliance:
Implement cost control measures to optimize financial efficiency.
Ensure compliance with Bangladesh tax laws, including VAT, income tax, and corporate tax.
Liaise with tax authorities, auditors, and legal advisors to address financial compliance matters.
Oversee tax filings, statutory returns, and financial audits.
4. Treasury & Cash Flow Management:
Manage company cash flow, banking relationships, and investment strategies.
Optimize working capital, ensuring effective fund management.
Oversee loan management, credit facilities, and financial risk mitigation.
5. Strategic Financial Planning:
Support business decision-making through financial analysis and forecasting.
Provide insights on investment opportunities, cost optimization, and revenue growth strategies.
Work closely with other departments to align financial planning with company goals.
Festival bonuses as per company policy
Contributory provident fund as per company policy
Earned leave encashment
Life insurance
Partially subsidized lunch
Mobile bill