Jobs

Open Positions

Requirements

Education

  • Master of Business Administration (MBA)
  • Masters
  • Bachelor of Business Administration (BBA) in Finance
  • Bachelor of Business Administration (BBA) in Accounting
  • MBA / Masters & BBA / Hon’s in Finance & Accounting.

Experience

    • 2 to 4 years
  • The applicants should have experience in the following business area(s): Wholesale, Trading or Export/Import, Multinational Companies, Engineering Firms, Consulting Firms, Chemical Industries, Cement Industry, Paint, Importer

Additional Requirements

  • Minimum 2 – 4 years of work experience in relevant field.

Responsibilities & Context

Job Location: Corporate Head Office (Dhaka)

Responsibilities:

  • Preparation of all cash receipts & payments vouchers in ERP.
  • Checking of cash adjustment related documents submitted by Internal Audit Department.
  • Applying of applicable tax & VAT to cash adjusting documents in relation to local purchase.
  • Passing of Journal Entries into ERP for the adjustment of advances paid for various local purchases.
  • Follow up petty cash advances and IOU and keep the track record for timely adjustments.
  • Cash disbursements as per approval and instructions by the management.
  • Follow up of cash withdrawal from bank and receive in petty cash.
  • Maintain treasury cautiously and properly.
  • Passing of monthly expense provision entries in ERP.
  • Closing of Daily Cash Book and getting audited by Internal Audit Department.
  • Following any other instructions passed by the senior management

Compensation & Other Benefits

  • Mobile Bill
  • Festival bonus: 02
  • Health Benefit
  • Food Allowance (Partially subsidized)

Requirements

Education

  • Master of Business Administration (MBA)
  • Masters
  • Bachelor of Business Administration (BBA) in Finance
  • Bachelor of Business Administration (BBA) in Accounting
  • MBA / Masters & BBA / Hon’s in Finance & Accounting.

Experience

    • 2 to 4 years
  • The applicants should have experience in the following business area(s): Wholesale, Trading or Export/Import, Multinational Companies, Engineering Firms, Consulting Firms, Chemical Industries, Cement Industry, Paint, Importer

Additional Requirements

  • Minimum 2 – 4 years of work experience in relevant field.

Responsibilities & Context

Job Location: Corporate Head Office (Dhaka)

Responsibilities:

  • Preparation of all cash receipts & payments vouchers in ERP.
  • Checking of cash adjustment related documents submitted by Internal Audit Department.
  • Applying of applicable tax & VAT to cash adjusting documents in relation to local purchase.
  • Passing of Journal Entries into ERP for the adjustment of advances paid for various local purchases.
  • Follow up petty cash advances and IOU and keep the track record for timely adjustments.
  • Cash disbursements as per approval and instructions by the management.
  • Follow up of cash withdrawal from bank and receive in petty cash.
  • Maintain treasury cautiously and properly.
  • Passing of monthly expense provision entries in ERP.
  • Closing of Daily Cash Book and getting audited by Internal Audit Department.
  • Following any other instructions passed by the senior management

Compensation & Other Benefits

  • Mobile Bill
  • Festival bonus: 02
  • Health Benefit
  • Food Allowance (Partially subsidized)