Assistant Manager/ Deputy Manager, Finance

Dec 30, 2016 05:52 am

National Polymer Industries Ltd. Company Name: National Polymer Industries Ltd.

Job Title: Assistant Manager/ Deputy Manager, Finance

Job Type: Full Time

Number of Vacancies: 1

Job Category: Accounting/ Finance

Deadline: 04 Jan,2017

Educational Qualification:
  • B.Com (Hons) & M.Com/ BBA & MBA/ BBS & MBS in Finance or Accounting from a reputed university
  • CA CC qualified will have an extra advantage

 

Experience:
  • 5 to 7 year(s)
  • The applicants should have experience in the following area(s):
    Accounts, Finance, Tax (VAT/ Customs Duty/ Income Tax), Strategic Planning, Cash Management

 

Requirement:
  • Age 34 to 40 year(s)
  • Excellent communication skill
  • Strong interpersonal skills
  • Quick learner and hard worker
  • Very good negotiator
  • Sound analytical ability
  • Ability to work under pressure and meet the deadline
  • Flexible
  • Adequate knowledge on using ERP, other computer applications (proficiency in Oracle ERP preferable)

 

Other Opportunities:
Job Location

Dhaka (Gulshan)

Salary Range
    Negotiable
Other Benefits
    As per company policy

 

Instruction :

Applicant must enclose his/her Photograph with CV.

Application Deadline : Jan 4, 2017

 

Company Information

National Polymer GroupAddress : Uday Tower (2nd floor), Gulshan Avenue Circle-1, Gulshan-1, Dhaka-1212.Web : www.nationalpolymer.net

 

Job Detail:


Job Context

We are looking for a young and energetic person who will be working with cash flow management of the organization and communicate with banks and other financial organizations for finance, project and expansion related issues

Job Description / Responsibility

Conduct special financial studies and projections and develops recommendations for financial decision making
Assist in preparation of project feasibility for expansion / post operational performance review
Maintain liaison with banks and other financial institutes
Communicate and bargain with the external stakeholders
Take care of the cash flow management of the organization
Maintain records of financial transactions of the organization and take necessary actions accordingly
Control the company inside depreciation (product and equity)
Maintain liaison with TAX & VAT department
Ensure VAT, AIT deduction from all payments and arrange for timely deposit
Maintain and prepare all kind of vouchers, cash book, bank book, bill register, general ledger and different registers related to finance
Manage aging report of all cash flow and take necessary steps
Perform any other relevant task given by the supervisor