Dawlance

Branch Accountant (Finance Operations)

Dawlance

Pakistan

Accepting Applications Full-time On-site LinkedIn
Posted 1 month ago 19 views 0 applications
Job Description

Dawlance is looking for a dynamic and motivated

Branch Accountant

to join our Sales Branch in

Sargodha

. If you have a strong aptitude for accounting and are looking to grow your career with one of Pakistan’s leading home appliance brands, we’d love to hear from you.

Key Responsibilties

  • Manage end-to-end dealer collections, including receipt recording, allocation, follow-up, and reconciliation of customer accounts.
  • Ensure timely deposit of dealer collections and branch receipts into designated bank accounts on a daily basis.
  • Monitor branch cash flows and remittances, and perform regular bank reconciliations to maintain financial accuracy.
  • Administer branch petty cash and ensure proper authorization, documentation, and accounting of branch expenses.
  • Review and reconcile dealer ledgers, outstanding balances, advances, securities, and credit limits in accordance with company policies.
  • Prepare and analyze receivable ageing reports, highlight overdue accounts, and coordinate with the Sales Team to improve collection efficiency.
  • Verify dealer incentives, rebates, claims, and promotional schemes, ensuring accurate calculations and accounting entries.
  • Support monthly sales closing activities and prepare branch sales, collection, and receivable reports for submission to Head Office.
  • Validate sales invoices, dispatch orders, pricing structures, and discount approvals to ensure compliance with company policies.
  • Provide sales performance analysis, collection trends, and operational insights to support branch management decision-making.
  • Coordinate with warehouse and logistics teams to ensure accurate inventory records, stock reconciliations, and periodic physical stock audits.
  • Manage branch accounts payable activities, including supplier payments, expense verification, and vendor reconciliations.
  • Monitor and reconcile stakeholder claims, fines, incentives, and other commercial transactions as per approved company policies.
  • Liaise with after-sales service teams regarding customer settlements, claims, recoveries, and operational support requirements.
  • Prepare tax-related documentation, withholding tax calculations, and statutory records as required by company and regulatory requirements.
  • Ensure timely reconciliation of receivable, payable, inventory, and bank accounts and resolve discrepancies with relevant stakeholders.
  • Serve as the key finance representative at branch level, ensuring smooth coordination between Sales, Service, Warehouse, and Head Office functions.
  • Prepare periodic financial, operational, and management reports for Head Office and support ad hoc business analysis requirements.
  • Ensure strict adherence to company policies, internal controls, SOPs, and audit requirements across all branch operations.

Required Qualifications

  • CA Finalist with 2 – 3 years of experience
  • ACCA (Finalist/Qualified) or ICMA (Finalist/Qualified) with 3 – 4 years of experience
  • MBA (Finance) / M.Com or equivalent with 4 – 5 years of experience
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