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Executive - Finance & Accounts - Head Office

Giant Group

United Kingdom

On-site

GBP 25,000 - 35,000

Full time

Today
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Job summary

A prominent business conglomerate located in the United Kingdom is looking for a motivated Executive to join their Finance & Accounts Department. The ideal candidate will have strong proficiency in MS Excel and a basic understanding of accounting software. This position provides an excellent opportunity for fresh graduates to gain experience in a structured and professional environment, contributing to the company's continued success.

Qualifications

  • Fresh graduates are preferred.
  • Experience in financial record maintenance is a plus.

Responsibilities

  • Prepare and maintain daily financial records.
  • Check Bills and ensure accurate posting.
  • Support ledger posting and bank reconciliation.

Skills

Strong proficiency in MS Excel
Basic understanding of accounting software
Job description
Job Context

Giant Group is one of the leading and fastest-growing conglomerates in Bangladesh, with diversified business interests across textiles, garments, agro-business, retail, and other industries. Over the years, the company has built a strong reputation for excellence, innovation, and sustainable growth. With a dedicated workforce committed to maintaining modern standards, Giant Group continues to strengthen and expand its presence.

To further strengthen our Finance & Accounts Department, we are seeking a motivated and growth-oriented individual to join us as an Executive. The ideal candidate should demonstrate strong proficiency in MS Excel and a basic understanding of accounting software. This position offers an excellent platform for fresh graduates to build their career in a structured and professional environment, with ample opportunities for learning, skill development, and contributing to the continued success of one of Bangladesh's most respected business group.

Job Responsibilities
  • Prepare and maintain daily financial records, vouchers, and supporting documents.
  • Check Bill and ensure day to day posting.
  • Support ledger posting, bank reconciliation, and documentation management.
  • Perform data entry, report preparation, and financial record analysis.
  • Coordinate with internal departments to gather financial information.
  • Assist external and internal auditors with necessary documentation.
  • Ensure compliance with accounting standards and organizational policies.
  • Assist in month-end and year-end closing activities.
  • Execute additional tasks as assigned by seniors.
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