Sr. Executive / Asst. Manager – Accounts & Finance

Renowned Group of Company.

Requirements

Education

  • Bachelor of Business Administration (BBA)
  • Master of Business Administration (MBA)
  • Bachelor’s or Master’s degree in Accounting / Finance (B.Com / M.Com / BBA / MBA in Finance).
  • Professional certification (CACC / ACCA partly qualified) will be an advantage.

Experience

    • At least 3 years
  • The applicants should have experience in the following business area(s): Pharmaceutical/Medicine Companies, Tannery/Footwear, Group of Companies

Additional Requirements

  • Strong knowledge of accounting principles and financial reporting.
  • Strong efficiency in MS Excel and accounting software (e.g., Tally, ERP).
  • Good understanding of VAT, Tax and local financial regulations.
  • Analytical and problem-solving skills.
  • Strong attention to detail and accuracy.
  • Good communication and interpersonal skills.
  • Ability to work under pressure and meet deadlines.
  • Team player with a proactive attitude.
  • Experience Required: Minimum 3 (Three) years in Accounts & Finance

Responsibilities & Context

Reports To: Manager / Head of Accounts & Finance

The Sr. Executive/ Asst. Manager – Accounts & Finance will be responsible for managing daily accounting operations, financial reporting, compliance, and supporting budgeting & financial analysis activities. The role requires strong analytical ability, accuracy, and knowledge of financial regulations.

Key Responsibilities:

  • Maintain day-to-day accounting records and ensure proper documentation.
  • Prepare vouchers (payment, receipt, journal) and ensure timely posting in accounting software.
  • Manage accounts payable and receivable efficiently.
  • Reconcile bank statements and ledger accounts regularly.
  • Prepare monthly, quarterly and annual financial statements.
  • Assist in preparing management reports and financial summaries.
  • Monitor financial transactions and ensure accuracy and compliance.
  • Assist in preparing annual budgets and financial forecasts.
  • Monitor budget utilization and report variances.
  • Ensure compliance with company policies, accounting standards and regulatory requirements.
  • Support internal and external audit processes.
  • Maintain VAT, Tax and other statutory records and assist in submission.
  • Monitor cash flow and maintain adequate fund availability.
  • Handle banking transactions and maintain relationships with banks.
  • Ensure proper use of accounting software/ERP systems.
  • Suggest improvements in financial processes and internal controls.

To apply for this job email your details to apply@chakricircular.com