Responsibilities & Context: Manage day-to-day cash operations, including cash receipts, disbursements, and bank deposits. Maintain and update cash books, ensuring accuracy and …
Responsibilities & Context: Prepare financial statements, monthly, quarterly and annual accounts, and various management reports. Prepare and submit quarterly reports for BSEC,…
Responsibilities & Context: Manage and maintain financial records, including accounts payable and receivable, invoices, and bank statements. Prepare monthly, quarterly, and ann…
Responsibilities & Context: Sales data collection from ERP and update delivery excel database. Sales data reconciliation with ERP data and excel database. Prepared Sales Repo…
Responsibilities & Context: Daily Maintenance of Expenditure Voucher Cash Book Maintenance Daily Cash Maintenance Cash disbursement against bill Bill voucher management Pre…
Responsibilities & Context: Import costing - System update for Invoice, C&F, Custom etc. Make product standard costing in the system and keep update always Bill checking and r…
Responsibilities & Context: Handle day-to-day accounting tasks including accounts payable/receivable, invoicing, and expense tracking Prepare and maintain financial records and…
Responsibilities & Context: We are a leading global manufacturer of Garment Accessories (Zippers & Buttons), serving renowned apparel brands worldwide. To support our continuous …
Responsibilities & Context: Posting all bill & voucher to accounting software regularly. Ensure and checking all bill voucher then entry and approve by authorized person then c…
Responsibilities & Context: Accurate Data entry into all level of accounting in the company. Prepare bank reconciliation statements and conducting banking related tasks, Bank a…
Responsibilities & Context: This role primarily responsible for Voucher & Ledger Posting in ERP. Bank reconciliation posting in ERP Record day-to-day financial transactions i…
Responsibilities & Context: Preparation of accounting voucher. Able to capacity independently maintain cash & Bank Book. Able to capacity ledger posting. Maintain sales & pur…
Responsibilities & Context: To control and monitor the customer credit and work with commercial team to collect the export proceeds realization timely. Retailer and product wis…
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