SS Group,Chattogram
Requirements
Education
- Master of Business Administration (MBA) in Accounting
- CA CC is mandatory and CA Partly Qualified is preferred
Experience
-
- 5 to 10 years
- The applicants should have experience in the following business area(s): Building & Construction Materials, Group of Companies, Shipping, Trading or Export/Import
Additional Requirements
- Age 30 to 40 years
- Only Male
- MBA/Master`s degree in Accounting, Finance, or a related field.
- CA CC is mandatory and CA Partly Qualified is preferred.
- Minimum of 5 years of relevant experience in finance and accountancy roles.
- Proficiency in using accounting software and MS Office applications.
- Familiarity with taxation, VAT laws, and compliance requirements.
- Strong analytical and problem-solving skills.
- Effective communication and interpersonal abilities.
- Experience in import, trading and operation of stone, coal and other bulk items.
Responsibilities & Context
- Assist in day-to-day financial operations, including financial planning, budgeting, forecasting, and reporting. Proficient in operating Tally or other ERP software for recording transactions and reporting on timely basis.
- Ensure compliance with accounting standards and regulatory requirements.
- Contribute to the preparation of accurate and timely financial statements, including balance sheets, income statements, and cash flow statements.
- Ensuring accurate calculation of landed cost for import consignments.
- Participate in financial data analysis and provide insights to senior management for informed decision-making.
- Collaborate in monitoring expenses and support the implementation of cost control measures to enhance operational efficiency.
- Participate in regular cost analysis and assist in recommending cost reduction strategies without compromising quality.
- Ensuring compliance with Income Tax, VAT, Companies Act, and other legal requirements.
- Assist in coordinating with external consultants and relevant authorities for the timely and accurate preparation and submission of returns.
- Support cash flow and working capital management to facilitate daily operations and growth initiatives.
- Participate in the implementation of cash management strategies and the optimization of banking relationships.
- Assist in the development of financial forecasts, budgets, and long-term financial plans in collaboration with the executive team.
- Participate in variance analysis and provide recommendations for improvement.
- Contribute to the identification of financial risks and assist in implementing risk mitigation strategies.
- Participate in establishing and monitoring internal controls to safeguard company assets.
- Collaborate with the finance and accounting team, providing support and professional development opportunities.
- Foster a collaborative work environment and contribute to a culture of continuous improvement.
To apply for this job email your details to apply@chakricircular.com