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Group CFO (Chief Financial Officer)
Job Responsibilities
- Handle Group Accounts & Finance.
- Ensure & Submit monthly, quarterly & yearly financial & others related report to Management.
- Costing, Fund Management, Payroll management, Investment, Tax, VAT, Banking issue, budget, Production analysis, Inventory, Business planning analysis, CapEx analysis, New project analysis, Audit, Cost control, Asset Management,
- As a Head of the accounts & finance, accountable for the entire financial and risk management operations of the companies, to include the development of a financial and operational strategy, metrics tied to that strategy, and the ongoing development and monitoring of control systems designed to preserve company assets and report accurate financial results.
- This position is accountable for the ongoing analysis of process constrains, target costing projects, margin analysis, and tracing costs back to underlying activities and construct and monitor those cost-effective data accumulation systems needed to provide an appropriate level of costing information to the Matrix Management.
- Assist in formulating Group's future direction and supporting tactical initiatives to achieve financial target.
- Monitor and direct the implementation of strategic business plans of Group (all sister concern).
- Manage the capital request and budgeting processes.
- Develop performance measures that support the company's strategic direction
- Oversee day to day Financial operations of all sister concern of Group to comply Board of the Director.
- Participate in key decisions as a member of the executive management team of all sister concern of Group.
- Maintain in-depth relations with all members of the management team.
- Manage the accounting, revenue collection, billing, banks, investor relations, legal, tax, and treasury departments.
- Oversee the financial operations of subsidiary companies and foreign operations.
- Annual business plan.
- Group/Company/Departmental budgeting.
- Fund allocation as per budget/Quarterly budget follow up.
- Oversee Export/Import/LC/Subsidy issues.
- Payable management/Receivable management.
- Initiating and tuning policy on financial issues.
- Ensuring and submit P/L account company wise
- Any other job as assigned by Management.
For more info, please contact at hr@pannagroupbd.com
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