Position: Manager Finance & Accounts (Feb 2020 till date)
Duties & Responsibilities:
Supervision of All Cashiers & Accounts Staff
Responsibility
Ø Preparation of daily cash & bank position.
Ø Management of overall cash of the company as per SOP’s.
Ø Supervision of daily activity of all cashiers (factory & warehouses).
Ø Managing all matters of cashiers.
Ø Surprise physical cash count of factory as well as warehouses.
Ø Posting of cash payment and cash receipts vouchers of factory as well as warehouse.
Ø Any other assignments given by management
Ø Manage at least 5 surprise warehouse audits in a month. 2 by yourself and 3 by your supervisor
Ø Finalize the projected and actual cash flow till the 3rd of every subsequent month to CFO.
Ø Finalize plan of monthly rest of all cashiers and share with CFO.
Ø Take confirmation and clear all balances in the head of Advance for expenses till 5th of every next month.
Ø Complete all GRN’s of the month till 2nd of every next month.
Ø Finalize payables till 3rd of every next month.
Ø Facilitate to accounts department in conducting monthly stock taking and audit (it might be surprise).
Ø Share your monthly activity report with Director Finance and CFO till 5th of every next month.
Ø Cash & Bank Position email to CFO & Director Finance.
Ø Prepare Monthly Cash Flow (Budget) verify by CFO & email to Director Finance.
Ø Monthly Income Statement & Balance Sheet Assist to Account Manager.
Ø Monthly income statement comparison each head email to CFO & Director.
Ø Monthly Analysis report overhead Factory email to CFO & Director Finance.
Ø Closing Cash balance increase as per limit then email to insurance company.
Ø Prepare detail annual related insurance email to insurance company.
Ø Monthly Closing working all adjusting entries and details verify.
Ø Any other assignment given by management.
Vouchers Entries, Financials Accounts
Position: Manager Finance & Accounts (Feb 2020 till date)
Duties & Responsibilities:
Supervision of All Cashiers & Accounts Staff
Responsibility
Ø Preparation of daily cash & bank position.
Ø Management of overall cash of the company as per SOP’s.
Ø Supervision of daily activity of all cashiers (factory & warehouses).
Ø Managing all matters of cashiers.
Ø Surprise physical cash count of factory as well as warehouses.
Ø Posting of cash payment and cash receipts vouchers of factory as well as warehouse.
Ø Any other assignments given by management
Ø Manage at least 5 surprise warehouse audits in a month. 2 by yourself and 3 by your supervisor
Ø Finalize the projected and actual cash flow till the 3rd of every subsequent month to CFO.
Ø Finalize plan of monthly rest of all cashiers and share with CFO.
Ø Take confirmation and clear all balances in the head of Advance for expenses till 5th of every next month.
Ø Complete all GRN’s of the month till 2nd of every next month.
Ø Finalize payables till 3rd of every next month.
Ø Facilitate to accounts department in conducting monthly stock taking and audit (it might be surprise).
Ø Share your monthly activity report with Director Finance and CFO till 5th of every next month.
Ø Cash & Bank Position email to CFO & Director Finance.
Ø Prepare Monthly Cash Flow (Budget) verify by CFO & email to Director Finance.
Ø Monthly Income Statement & Balance Sheet Assist to Account Manager.
Ø Monthly income statement comparison each head email to CFO & Director.
Ø Monthly Analysis report overhead Factory email to CFO & Director Finance.
Ø Closing Cash balance increase as per limit then email to insurance company.
Ø Prepare detail annual related insurance email to insurance company.
Ø Monthly Closing working all adjusting entries and details verify.
Ø Any other assignment given by management.