Md Sazzadul Islam, MBA, MPF (DU), ITP

Manager (Finance & Accounts) at Mir Telecom Limited
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Contact Information
us****@****om
(386) 825-5501
Location
Dhaka, Bangladesh, BD

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Credentials

  • Diploma in Computer Studies
    Chittagong City Corporation Computer College
    Jan, 2006
    - Oct, 2024
  • Income Tax Practitioner (ITP)
    National Board of Revenue

Experience

    • Bangladesh
    • Telecommunications
    • 1 - 100 Employee
    • Manager (Finance & Accounts)
      • Jan 2020 - Present

      Preparation of Annual Financial Statement to comply the NBR, RJSC, Bank and other stake holders following IFRS and local laws.Maintenance of Provident Fund Accounts of the company.Facilitate with required documents to External Auditor to finalise the statutory audit report.Cash management & Preparing Monthly payroll statement & disbursement accordingly.General Ledger update by ensuring all the transactions are recorded properly accrual basis & Analyze and compare month on month expenses to attain uniform distribution of cost during the year.Ensure inter-company transactions are reconciled every month & within the framework as agreed by all participating companies as per management decision.Monitor L/C (letter of credit) costing (Landed Cost) and reporting to the Management.Handle Funded loan (ABP, LTR, LOC, STL, Long Term & OD) & Non-Funded Loan (L/c, Bank Guarantee, Performance Guarantee) with Bank & prepare Bank Reconciliation Statement.Monitoring that the deduction of TDS, VDS from vendors` invoices properly on a monthly basis and deposit to the government treasury.Preparation and submission of withholding tax return (75A), 108, 108A, Quarterly Advance Tax in due time. Facilitate/Arrange necessary documents to tax authority (Tax, VAT) on tax/VAT assessment and appeal.Company tax return submission to National Board of Revenue (NBR) and Coordination with tax authorities and tax consultants for all tax matters.Other duties and responsibilities as assigned by management from time to time. Show less

    • Deputy Manager (Finance & Accounts)
      • Apr 2016 - Dec 2019

      General Ledger update by ensuring all the transactions are recorded properly in TALLY.ERP - 9Assist in developing inter-company policy as well as internal finance policy of Mir Telecom ltd.Provident fund management,Reconciliation of inter-company transactions & Perform month end and year financial closing activities. Compare month on month variance expenses & make an accrual when appropriate to have consistency in reporting. Monitor L/C (letter of credit) costing, Assessment value and reporting according to the Management.TDS & VDS from stakeholders and comply Section 75A, 108 & 108A of ITO 1984 in due time. Monthly GL finalization and follow-up of Inter-company reconciliation and Bank Reconciliation.Assisting to prepare Company financial Statements for various purpose.All other day to day works as assigned by management. Show less

    • Assistant Manager (Finance & Accounts)
      • Jul 2014 - Mar 2016

      General Ledger update by ensuring all the transactions are recorded properly in TALLY.ERP - 9.Maintain compliance with all regulatory requirements of BTRC.Monitor L/C (letter of credit) costing, Assessment value and reporting according to the Management. Preparation of inward & outward remittance accounts.Cash & Payroll Management.Assist in internal and external audit as well as corporate taxation.Follow up of Cash Flow and Bank Reconciliation statements.

    • Senior Executive (Accounts & Finance)
      • May 2012 - Jun 2014

      General Ledger update by ensuring all the transactions are recorded properly in TALLY.ERP - 9 Cash & Payroll management, Follow-up monthly advance & adjustments.Inter-Company reconciliation by all participating companies as per management decision.Preparation of Cash flow & Bank Reconciliation Statement.Monthly depreciation calculation on fixed assets and reconcile with the fixed assets register. All other day to day works as assigned by management.

    • Accounts Officer (Finance & Accounts)
      • Mar 2010 - Apr 2012

      General Ledger update by ensuring all the transactions are recorded properly in TALLY.ERP - 9 Preparation of Bank Reconciliation and Cash flow statement.Preparation of Salary, Bonus statement and disburse. Check fixed / current assets register and calculation of depreciation schedule.Tax & Vat deduct as per law.Carriers balance update.

  • Nassa Group of Companies
    • Gulshan link road, 238, Tejgaon, Dhaka.
    • Accounts Officer (A unit account manager)
      • Apr 2009 - Mar 2010

      General Ledger update by ensuring all the transactions are recorded properly in TALLY.ERP - 9 Compare month on month variance expenses & make an accrual when appropriate to have consistency in reporting. To maintain stock and reconciliation and dealing with Bank transaction & reconciliation as monthly basis. Reconciliation of inter-company transactions & Perform month end and year financial closing activities. Preparation of Cash flow & Bank Reconciliation Statement, Follow-up monthly advance & adjustments. Monthly depreciation calculation on fixed assets and reconcile with the fixed assets register. All other day to day works as assigned by management. Show less

    • Junior Accounts Officer
      • Feb 2008 - Apr 2009

      Maintaining continuous reporting on supply of products and raw materials. Preparation of Bank Reconciliation and Cash flow statement. Contributing on preparing procurement plan, Inventory management and re-order planning and weekly payment plan for getting the offer of discount. Maintaining continuous reporting on supply of products and raw materials. Preparation of Bank Reconciliation and Cash flow statement. Contributing on preparing procurement plan, Inventory management and re-order planning and weekly payment plan for getting the offer of discount.

    • Executive (Cost & Accounts)
      • Apr 2007 - Jan 2008

      Preparation of Cost of Production Report (product-wise, total and per-unit wise) Computation of material consumption ratio & material loss/wastage adjustment. Preparation of Salary, Overtime, Bonus statement and disburse. Check fixed / current assets register and calculation of depreciation schedule Preparation of Cost of Production Report (product-wise, total and per-unit wise) Computation of material consumption ratio & material loss/wastage adjustment. Preparation of Salary, Overtime, Bonus statement and disburse. Check fixed / current assets register and calculation of depreciation schedule

Education

  • University of Dhaka
    Master of Professional Finance (MPF), Finance and Financial Management Services
    2016 - 2019
  • International Islamic University Chittagong
    Master of Business Administration (MBA), Finance & Banking
    2010 - 2011
  • Hajji Mohammad Mohsin College, Chittagong.
    Master of Commerce (M.Com), Accounting
    2004 - 2005
  • Hajji Mohammad Mohsin College, Chittagong
    Bachelor of Commerce (B.Com - Hon's), Accounting
    2000 - 2003
  • Patiya Government College, Patiya, Chittagong.
    Higher Secondary Certificate, Business Studies
  • Union Krishi High School, Patiya, Chittagong.
    Secondary School Certificate, Business Studies

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