Verify daily transactions, bills and documents before approval and maintain accurate records.
Perform periodic reconciliations, including bank, receivables, payable and stock ledgers.
Manage company funds, handle banking transactions and ensure proper VAT & Tax compliance.
Prepare accurate financial and management reports with necessary reconciliations.
Monitor daily cash transactions and manage company assets effectively.
Support smooth day-to-day operations and assist in people management as needed.
Provide full support in the operation and maintenance of accounting and billing software.
Maintain effective communication with suppliers and customers and ensure proper relationship management.
Handle legal matters, external audits and carry out any additional tasks assigned by management.
Leave Encashment
Work at office
Full Time
Dhaka