Our motto is to make the lives of our customers simpler through the use of modern technology. Our services have helped business owners and companies complete a wide variety of tasks such as administrative duties, e-commerce integration, reporting, research and surveillance. We provide offshore data entry services, in overseas countries, virtual assistant , accounting, payroll services and many more depends on customers demand and choices. We work with financial institutions, agents and realtors home owners mostly in USA and trends to help them grow up more business opportunities. SK IT Centre is globally working around 100 more clients and customers in overseas.
Number of Position
:
2
Employment Type
:
Full Time
Age
:
Maximum 24 years
Gender
:
Male
Job Location
:
Dhaka (Uttara Sector 10)
Salary
:
Tk. 30000 - 40000 (Monthly)
Educational Requirement
:
Bachelor/HonorsBachelors Degree in Accounting or Finance.CPA certification is preferred.
Other Requirement
:
Age 24 to 35 years
Only Male
Qualifications
Minimum of 1-5 years of accounting experience.
Strong knowledge of accounting principles and practices.
Proficiency in accounting software and Microsoft Excel.
Excellent analytical and problem-solving skills.
Strong communication and interpersonal skills.
Experience
:
1 to 5 years
The applicants should have experience in the following business area(s): BPO/ Data Entry Firm, Call Center, IT Enabled Service
Responsibilities
:
About Us
SK IT CENTRE is a dynamic and innovative company specializing in IT solutions. We are committed to providing exceptional service and support to our clients. As we continue to grow, we are looking for a dedicated and experienced Accountant to join our team.
Job Description
As an Accountant at SK IT CENTRE, you will play a crucial role in managing our financial records, ensuring compliance with regulations, and providing insightful financial analysis to support decision-making. You will be responsible for overseeing the accounting department and mentoring junior staff.
Key Responsibilities
Prepare and maintain accurate financial statements and reports.
Manage accounts payable and receivable.
Conduct monthly reconciliations of bank statements and general ledger accounts.
Ensure compliance with financial regulations and standards.
Assist in budgeting and forecasting processes.
Provide financial analysis and insights to management.