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To oversee and overview end to end finance commercial and HQ related operations including Financial reporting, tax & treasury functions. Provide business support to ensure seamless running of business operations will maintaining controls and processes intact. This role also leads the overall month end reporting as well as timely closure of Statutory and other internal audits of Bangladesh Market.
Job Responsibility:
Lead the preparation and delivery of accurate, timely financial reports in line with company policies and regulatory requirements
Oversee timely and accurate tax and VAT filings and related compliance processes
Establish, implement, and monitor effective internal control frameworks to safeguard company interest
Lead internal and external audits, ensuring readiness and adherence to regulatory and corporate standards
Implement strong controls over commercial processes
Manage banking relationships and negotiate financing arrangements
Monitor and analyse cash flow and working capital trends to optimize liquidity
Optimize the use of banking services and cash management strategies to minimize costs and maximize returns
Identify financial risks and implement mitigation strategies to strengthen governance
Ensure compliance with corporate policies, local regulations, and statutory requirements
Drive financial analysis, forecasting, and modelling to support strategic planning and performance management
Assess the financial impact of business initiatives and provide actionable insights to improve performance
Partner with cross‑functional teams to support business initiatives and drive company strategy
Provide financial guidance and decision support for cross‑functional projects, process improvements, and transformation initiatives
Ensure efficient execution of day‑to‑day finance activities aligned with organizational objectives
Delivery of ad-hoc work & reports
Working capital management
Partner with Market CFO, Planner and BU Controls to ensure closure of open issues
Close coordination with external vendor especially sole distributor finance & operating team
Identify and implement opportunities vis a vis operating business efficiency, VAT and tax modelling
Ensure maintenance of pricing, credit controls and other checks to ensure smooth running of business operations
Foster a culture of accountability, collaboration, and continuous improvement
Lead, mentor, and develop a high‑performing finance team
Requirements:
A qualified chartered accountant with 6-8 years of post qualification experience in the domain of Financial Reporting, Controls and Business Partnering. The incumbent should be open to take up challenges and willing to work in the VUCA world.