Ensuring Financial Management and preparing budget
Preparing Cash Voucher, Bank Voucher, Journal Voucher
Maintaining Cash Book, Bank Book, Party Ledger
Preparing Bank Re-Consultation Statement
Debtor & Creditor Re-Consultation Statement
Preparing Monthly Trial Balance Profit & Loss Account Statement
Cash Flow Statement
Before preparing voucher, check-salary, wages, OT, bonus, allowances etc. in respect of validity, authenticity and accuracy.
Make accounting software (Tally-Prime) up-to-date by accurate data entry in timely manner.
Checking local and party transport bills reconciling in between manual bills & software DN / Invoice.
Checking entire transportation costs like: fuel, toll, repair maintenance and business development etc.
Daily cash reconciling jointly and proceed reconciliation reports to superior.
Perform any other duties assigned by the line manager time to time.
Suppliers TDS, VAT deduction expert.
Work at office
Full Time
Only Male
Dhaka
We foster a culture of innovation, excellence, and continuous learning. As an Auditor, you'll thrive in a dynamic environment, grow professionally, and play a crucial role in enhancing risk management and control functions.