Company Name: Goldstar Group of Industries
Roles & Responsibilities:
- Preparation and supervision of monthly/quarterly/yearly financial statement.
- Preparation of budgets and control procedure.
- Assist Management to treasury function and fund management.
- Ensure all of Receivable and Payable are posted correctly.
- Reconciliation of export & import.
- Ensure all company assets are monitored and accurately accounted for.
- Ensure all VAT and customs duty and tax is appropriately deducted, collected and paid over on a timely basis.
- Check daily expenditure, voucher, requisition and cash/ bank transaction.
- Maintain liaison with financial institution, TAX Authorities, VAT & Custom authorities & different parties relating with raw material purchase.
- Posting A/C information into tally software.
- Stock reconciliation and MIS report for management.
- Assist external and internal auditor to perform auditing.
- Other works as when assign by the superior(s).
Educational Qualification:
- Master of Commerce (MCom)
- M.Com (Accounting/ Finance)/ MBA (Accounting/ Finance)
- CA -Knowledge Level/ PE-1/ Inter passed
Work Experience:
- At least 4 year(s)
Others Requirements:
- Good knowledge of Payroll Software.
- Good communication skills both Bengali and English.
Others Benefit:
As per company policy.