Summary
Overview
Work History
Education
Skills
Extra-Curricular Activities
Personal Information
Expert Areas
Career Summary
Specialization
Training
References
Extra-Curricular Activities
References
Timeline
Hi, I’m

JABEDUR RAHMAN

Dhaka
JABEDUR RAHMAN

Summary

To achieve a dynamic & challenging job for the utilization of my Business Consulting Experience more than 150+ Companies & academic background as well as experience for the interest of the Company and my career to get position in the related fields.

Work with Foreign lenders: IFC, ADB, JICA, JBIC, Mizuho Bank, NEXI. Work with Foreign Firms : RINA, Allen & Overy, Marsh. Work in Area : Tea garden, Real state, Hospital, Shipping, Garments, Power, Transports Company, Foods & Beverage Company, Media & Advertising Agency, Hotel Accounts & Hotel Cost Management & Business Consulting Experience more than 150+ companies & NGO`s. And skilled in Share Market Analysis & International Forex Market analysis

Overview

23
years of professional experience

Work History

Noapara Group

Group CFO
02.2025 - Current

Job overview

  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • To follow Group Accounts of the Company.
  • To Take Investment.
  • To Maintain the relation with the Shareholders.
  • To Prepare the Accounts for A G M.
  • To Make Budget for the company.
  • To ensure timely execution of related job/formalities for import export policies, opening LC etc.
  • Ensure timely verification of monthly Bank reconciliation statement by 1st week of following month.
  • Ensure petty cash vouchers/journal vouchers etc are prepared properly, ensure adjustment of advances etc.
  • To ensure that the amount received from the clients/customers are deposited in bank in time, verification of individual money receipts etc.
  • To ensure timely preparation of submission of Annual budget.
  • To ensure Co-ordination, Monitoring, Supervision and timely completion of day wise routine work in a systematic and organized manner.
  • To ensure implementation of management policies effectively, efficiently & promptly.
  • To ensure due safety of valuable financial papers/documents/records and due secrecy of confidential papers/documents/company policy etc.

Noapara Group

Group CFO
02.2025 - Current

Job overview

  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • To follow Group Accounts of the Company.
  • To Take Investment.
  • To Maintain the relation with the Shareholders.
  • To Prepare the Accounts for A G M.
  • To Make Budget for the company.
  • To ensure timely execution of related job/formalities for import export policies, opening LC etc.
  • Ensure timely verification of monthly Bank reconciliation statement by 1st week of following month.
  • Ensure petty cash vouchers/journal vouchers etc are prepared properly, ensure adjustment of advances etc.
  • To ensure that the amount received from the clients/customers are deposited in bank in time, verification of individual money receipts etc.
  • To ensure timely preparation of submission of Annual budget.
  • To ensure Co-ordination, Monitoring, Supervision and timely completion of day wise routine work in a systematic and organized manner.
  • To ensure implementation of management policies effectively, efficiently & promptly.
  • To ensure due safety of valuable financial papers/documents/records and due secrecy of confidential papers/documents/company policy etc.

Intraco Group

Group CFO
09.2023 - 01.2025

Job overview

  • Planning, implementing, managing and running of all the Accounts & Finance activities of Intraco Group.
  • Maintain Foreign JV Company in UAE, Singapore and Indonesia.
  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • Manage Foreign Investment.
  • Group New Project Costing & Feasibility.
  • Manage New JV Companies.
  • 200MW Solar Project at Barapukira JV with Sumitomo.
  • 5MMCFD & 20MMCFD Gas Project from Bhola.
  • Costing for Days Hotel, Hotel Agrabad.

Intraco Group

Group CFO
09.2023 - 01.2025

Job overview

  • Planning, implementing, managing and running of all the Accounts & Finance activities of Intraco Group.
  • Maintain Foreign JV Company in UAE, Singapore and Indonesia.
  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • Manage Foreign Investment.
  • Group New Project Costing & Feasibility.
  • Manage New JV Companies.
  • 200MW Solar Project at Barapukira JV with Sumitomo.
  • 5MMCFD & 20MMCFD Gas Project from Bhola.
  • Costing for Days Hotel, Hotel Agrabad.

Ezzy Group

Group CFO
07.2019 - 08.2023

Job overview

  • Monitoring all works of Group.
  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • Prepare financial report (internal and external) and various analyses thereon.
  • Regulatory Report for DSE and other Authority.
  • Design the operational metrics and monitoring internal and external progress.
  • Ensure that Accounts and Finance staff maintains financial records in accordance with Accounting Standards.
  • Ensure the efficient and effective utilization of entities fund.
  • Reports financial status by developing forecasts, reporting results, analyzing variances, and developing improvements.
  • Research revenue opportunities and economic trends, analyze internal operations, identify areas of cost reduction and process enhancement.
  • Analysis of company liabilities and investments, and evaluate and manage capital structure and fundraising initiatives.
  • Recording, maintaining, and managing day-to-day financial transactions including accounts payable & receivable of the company.
  • Coordinating, preparing, and maintaining invoices, arranging documents for fundraising issues / Bank loans procedures, Receivable and payment to identify if there is any discrepancy.

Ezzy Group

Group CFO
07.2019 - 08.2023

Job overview

  • Monitoring all works of Group.
  • Plan and develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans.
  • Develop organization prospects by studying economic trends and revenue opportunities projecting acquisition and expansion prospects.
  • Analyze organization operations identifying opportunities for improvement, cost reduction, and systems enhancement and accumulating capital to fund expansion.
  • Prepare financial report (internal and external) and various analyses thereon.
  • Regulatory Report for DSE and other Authority.
  • Design the operational metrics and monitoring internal and external progress.
  • Ensure that Accounts and Finance staff maintains financial records in accordance with Accounting Standards.
  • Ensure the efficient and effective utilization of entities fund.
  • Reports financial status by developing forecasts, reporting results, analyzing variances, and developing improvements.
  • Research revenue opportunities and economic trends, analyze internal operations, identify areas of cost reduction and process enhancement.
  • Analysis of company liabilities and investments, and evaluate and manage capital structure and fundraising initiatives.
  • Recording, maintaining, and managing day-to-day financial transactions including accounts payable & receivable of the company.
  • Coordinating, preparing, and maintaining invoices, arranging documents for fundraising issues / Bank loans procedures, Receivable and payment to identify if there is any discrepancy.

New Vision Group

Chief Finance Officer(CFO)
11.2014 - 06.2019

Job overview

  • Prepare financial report (internal and external) and various analyses thereon.
  • Monitoring all works of CRD.
  • Planning for CRD.
  • Perform and monitor accounting functions as to the intercompany transactions and treasury functions and reconciliation thereof considering regulatory compliance.
  • Review reconciliation of various accounts/statements within the group.
  • Prepare and oversee budgeting and implementation thereof.
  • Design the operational metrics and monitoring internal and external progress.
  • Ensure that Accounts and Finance staff maintains financial records in accordance with Accounting Standards.
  • Ensure the efficient and effective utilization of entities fund.
  • Prepare monthly & annual financial statements and communicate to the Management & BOD.
  • Oversee the preparation and approval of all financial reporting materials and matrix for funding organizations and communicate to the New Vision Board of Directors.
  • Ensure effective utilization of the fund and forecasting based on priority and necessity.
  • Coordinate all audit activities.
  • To ensure registration of VAT, Income Tax of the company and timely payment of the same, deduction of VAT, Taxes etc. from bills of the Suppliers/Contractors, deduction of employees income tax and deposit the same in respective Govt. account in time.
  • To ensure timely execution of related job/formalities for import export policies, opening LC etc.
  • Ensure timely verification of monthly Bank reconciliation statement by 1st week of following month.
  • Ensure petty cash vouchers/journal vouchers etc are prepared properly, ensure adjustment of advances etc.
  • To ensure that the amount received from the clients/customers are deposited in bank in time, verification of individual money receipts etc.
  • To ensure timely preparation of submission of Annual budget.
  • To ensure Co-ordination, Monitoring, Supervision and timely completion of day wise routine work in a systematic and organized manner.
  • To ensure implementation of management policies effectively, efficiently & promptly.
  • To ensure due safety of valuable financial papers/documents/records and due secrecy of confidential papers/documents/company policy etc.
  • To ensure insurance coverage of company fixed assets where necessary.
  • To maintain strong leadership with a view to ensure proper discipline and smooth functioning of the department efficiently as a departmental head.
  • To prepare feasibility, simulation and sensitivity report and analysis on investment plans for new project.
  • To check the measurement book including quality of work of different construction projects and prepare payment proposals.
  • To check client files including checking of payment/collection.
  • Bank loan including collection and repayment.
  • Costing of materials/products to be purchased/sold to ensure verification of market price.
  • To ensure proper dealing with banks for smooth functioning of credit facilities/renewal etc.
  • To ensure timely preparation of working papers for Board Meeting, Co-ordination meetings etc.
  • Review all formal finance, secretarial, HR and IT related procedures, process & administration and recommending improvements to the systems in place and managing the systems going forward.
  • To perform any other jobs to be instructed/advised by the management from time to time.

New Vision Group

Chief Finance Officer(CFO)
11.2014 - 06.2019

Job overview

  • Prepare financial report (internal and external) and various analyses thereon.
  • Monitoring all works of CRD.
  • Planning for CRD.
  • Perform and monitor accounting functions as to the intercompany transactions and treasury functions and reconciliation thereof considering regulatory compliance.
  • Review reconciliation of various accounts/statements within the group.
  • Prepare and oversee budgeting and implementation thereof.
  • Design the operational metrics and monitoring internal and external progress.
  • Ensure that Accounts and Finance staff maintains financial records in accordance with Accounting Standards.
  • Ensure the efficient and effective utilization of entities fund.
  • Prepare monthly & annual financial statements and communicate to the Management & BOD.
  • Oversee the preparation and approval of all financial reporting materials and matrix for funding organizations and communicate to the New Vision Board of Directors.
  • Ensure effective utilization of the fund and forecasting based on priority and necessity.
  • Coordinate all audit activities.
  • To ensure registration of VAT, Income Tax of the company and timely payment of the same, deduction of VAT, Taxes etc. from bills of the Suppliers/Contractors, deduction of employees income tax and deposit the same in respective Govt. account in time.
  • To ensure timely execution of related job/formalities for import export policies, opening LC etc.
  • Ensure timely verification of monthly Bank reconciliation statement by 1st week of following month.
  • Ensure petty cash vouchers/journal vouchers etc are prepared properly, ensure adjustment of advances etc.
  • To ensure that the amount received from the clients/customers are deposited in bank in time, verification of individual money receipts etc.
  • To ensure timely preparation of submission of Annual budget.
  • To ensure Co-ordination, Monitoring, Supervision and timely completion of day wise routine work in a systematic and organized manner.
  • To ensure implementation of management policies effectively, efficiently & promptly.
  • To ensure due safety of valuable financial papers/documents/records and due secrecy of confidential papers/documents/company policy etc.
  • To ensure insurance coverage of company fixed assets where necessary.
  • To maintain strong leadership with a view to ensure proper discipline and smooth functioning of the department efficiently as a departmental head.
  • To prepare feasibility, simulation and sensitivity report and analysis on investment plans for new project.
  • To check the measurement book including quality of work of different construction projects and prepare payment proposals.
  • To check client files including checking of payment/collection.
  • Bank loan including collection and repayment.
  • Costing of materials/products to be purchased/sold to ensure verification of market price.
  • To ensure proper dealing with banks for smooth functioning of credit facilities/renewal etc.
  • To ensure timely preparation of working papers for Board Meeting, Co-ordination meetings etc.
  • Review all formal finance, secretarial, HR and IT related procedures, process & administration and recommending improvements to the systems in place and managing the systems going forward.
  • To perform any other jobs to be instructed/advised by the management from time to time.

First Step Business Consulting Firm

Chief Consultant
07.2010 - 10.2014

Job overview

  • Business plan developments.
  • System development.
  • Feasibility study of projects.
  • Project Profile.
  • Management consultation/development.
  • Due Diligence Review.
  • Data processing with computers.
  • Liquidation and winding up of companies.
  • Organizational consulting services.
  • Designing computerized systems for MIS and accounting and its implementation.
  • Share/business/asset valuation.
  • Taxation individuals, companies, branch offices.
  • Accountancy and management training.
  • Company formation and secretarial work.
  • Investigation of frauds and irregularities.
  • Setting up branch office and setting up liaison office.
  • Companies registration with Board of Investment, Ministry of Industries etc.
  • Bank accounts opening for foreign clients.
  • Obtaining permission from the central bank regarding inward and outward remittance.
  • Obtaining trade license, factory license, Import Registration Certificate, Export Registration Certificate, Bonded warehouse facility, VAT registration, Membership of Trade Association/chambers etc.
  • Providing services regarding setting up of office, drafting rent/lease agreement, recruitments of staff etc.
  • Preparation of manual and policy guidelines in respect of finance, accounts, internal control, inventory, procurement, operation, administration, human resources etc.
  • Services relating to fixed assets management, inventory management etc.
  • Services with regard to share issue, right issue, initial public offering, prospectus etc.
  • Outsourcing of accounting services, payroll, internal audit etc.
  • Helping clients in adopting international and local accounting standards.

First Step Business Consulting Firm

Chief Consultant
07.2010 - 10.2014

Job overview

  • Business plan developments.
  • System development.
  • Feasibility study of projects.
  • Project Profile.
  • Management consultation/development.
  • Due Diligence Review.
  • Data processing with computers.
  • Liquidation and winding up of companies.
  • Organizational consulting services.
  • Designing computerized systems for MIS and accounting and its implementation.
  • Share/business/asset valuation.
  • Taxation individuals, companies, branch offices.
  • Accountancy and management training.
  • Company formation and secretarial work.
  • Investigation of frauds and irregularities.
  • Setting up branch office and setting up liaison office.
  • Companies registration with Board of Investment, Ministry of Industries etc.
  • Bank accounts opening for foreign clients.
  • Obtaining permission from the central bank regarding inward and outward remittance.
  • Obtaining trade license, factory license, Import Registration Certificate, Export Registration Certificate, Bonded warehouse facility, VAT registration, Membership of Trade Association/chambers etc.
  • Providing services regarding setting up of office, drafting rent/lease agreement, recruitments of staff etc.
  • Preparation of manual and policy guidelines in respect of finance, accounts, internal control, inventory, procurement, operation, administration, human resources etc.
  • Services relating to fixed assets management, inventory management etc.
  • Services with regard to share issue, right issue, initial public offering, prospectus etc.
  • Outsourcing of accounting services, payroll, internal audit etc.
  • Helping clients in adopting international and local accounting standards.

TANSHIR GROUP

AGM (A & F)
08.2008 - 06.2010

Job overview

  • To follow Group Accounts of the Company.
  • To Take Investment.
  • To Maintain the relation with the Shareholders.
  • To Prepare the Accounts for A G M.
  • To Make Budget for the company.
  • To follow the Accounts of Head office.
  • To provide Vat Tax for the company.
  • Any other duties to be assigned by the Authority.

TANSHIR GROUP

AGM (A & F)
08.2008 - 06.2010

Job overview

  • To follow Group Accounts of the Company.
  • To Take Investment.
  • To Maintain the relation with the Shareholders.
  • To Prepare the Accounts for A G M.
  • To Make Budget for the company.
  • To follow the Accounts of Head office.
  • To provide Vat Tax for the company.
  • Any other duties to be assigned by the Authority.

Mission Group

Sr. Officer ( Accounts)
01.2007 - 07.2008

Job overview

  • To maintain the share.
  • To disburse the dividend.
  • To prepare the Salary Sheet.
  • To correspondence the daily Banking.
  • To posting the Ledger & Computer.
  • To prepare the monthly statement.
  • To correspondence with clients for accounts purpose.
  • To prepare the daily accounts statement.
  • To maintain the Ledger.
  • To maintain the Bill pass & Vouching (prepare, certify & posting).
  • To writing the share and Issue.
  • To maintain the MFC.
  • To maintain the Books of Accounts-Mission Development.
  • To maintain the Books of Uttara Garden.
  • To prepare the trial Balance & Profit loss accounts and Balance Sheet.
  • Any other duties to be assigned by the Authority.

Mission Group

Sr. Officer ( Accounts)
01.2007 - 07.2008

Job overview

  • To maintain the share.
  • To disburse the dividend.
  • To prepare the Salary Sheet.
  • To correspondence the daily Banking.
  • To posting the Ledger & Computer.
  • To prepare the monthly statement.
  • To correspondence with clients for accounts purpose.
  • To prepare the daily accounts statement.
  • To maintain the Ledger.
  • To maintain the Bill pass & Vouching (prepare, certify & posting).
  • To writing the share and Issue.
  • To maintain the MFC.
  • To maintain the Books of Accounts-Mission Development.
  • To maintain the Books of Uttara Garden.
  • To prepare the trial Balance & Profit loss accounts and Balance Sheet.
  • Any other duties to be assigned by the Authority.

Finlay Tea

Officer (Accountant)
02.2003 - 12.2006

Job overview

  • Preparing Daily cash Book.
  • Costing the section work.
  • Maintain company DLR book.
  • Bugged for the project.
  • Preparing Salary Sheet.
  • To maintain Ledger.
  • To prepare the monthly statement.
  • To correspondence with clients for accounts purpose.
  • To prepare the daily accounts statement.

Finlay Tea

Officer (Accountant)
02.2003 - 12.2006

Job overview

  • Preparing Daily cash Book.
  • Costing the section work.
  • Maintain company DLR book.
  • Bugged for the project.
  • Preparing Salary Sheet.
  • To maintain Ledger.
  • To prepare the monthly statement.
  • To correspondence with clients for accounts purpose.
  • To prepare the daily accounts statement.

Education

ICMAB

CMA from Cost Management

University Overview

GPA: 1500 Marks

National University

Masters in Accounting from Accounting
01.2005

University Overview

GPA: Second Class, Marks :55%

National University

B.com Hon`s (4 Years) from Accounting
01.2004

University Overview

GPA: Second Class, Marks :53%

Srimongal Govt College

H.S.C from Business Studies
01.2001

University Overview

GPA: Second Division, Marks :53%

Bhairovgong di pakoshik High School

S.S.C from Arts
01.1999

University Overview

GPA: Second Division, Marks :50%

Skills

Windows 98/2000

Extra-Curricular Activities

Forex Market Expert Analytic and Fund Management Named as FOREX WORLD GODFATHER. Godfather Analysis Create own Arithmetic theory with Geometry Analysis branch of mathematics that studies the sizes, shapes, positions angles and dimensions of things. Flat shapes like squares, circles, and triangles are a part of flat geometry and are called 2D shapes. AND Mixture of Harmonic Patterns, Trend Analysis, Wave Analysis, Chart Patterns, Technical indication XABCF Pattern, Cypher Pattern, ABCD Pattern, Triangle Pattern, Three Drives Pattern, Head and Shoulders, Elliott Impulse wave(both 12345 & ABCDE), Elliott Triple Combo Wave (WXYXZ) Elliott Correction wave (ABC) Elliott Double Combo Wave (WXY) Cyclic Line, Time Cycles, Sine line

Personal Information

  • Height: 5.6
  • Weight: 75
  • Passport Number: A03110346
  • Blood Group: O+
  • Religion: Islam
  • ID Type: Passport
  • ID Number: A03110346
  • Date of Birth: 25 Apr 1982
  • Gender: Male
  • Nationality: Bangladeshi
  • Marital Status: Married

Expert Areas

  • Business plan developments
  • System development
  • Feasibility study of projects
  • Project Profile
  • Management consultation/development
  • Due Diligence Review
  • Group Accounts
  • Overall Financial work
  • Cost Management
  • Budget
  • Overall Audit work & Tax and Vat

Career Summary

IFC, ADB, JICA, JBIC, Mizuho Bank, NEXI, RINA, Allen & Overy, Marsh, Tea garden, Real state, Hospital, Shipping, Garments, Power, Transports Company, Foods & Beverage Company, Media & Advertising Agency, Hotel Accounts & Hotel Cost Management, Business Consulting Experience more than 150+ companies & NGO's, Skilled in Share Market Analysis & International Forex Market analysis

Specialization

Accounts, Specialist/Consultant, Banking, Costing, Budgeting, Advisor/Consultant, Neptune Group, AL-Monsur Real Estate LLC (Sharja, UAE), Doha Group, Somaj Group, Green Shadow Group, Tanshir Group, Sindabad Group, Sreemongal Group, Diptimoy Group, Maxim Group, Epok Group, Luminous Group, Prism Group, SK Dream Group, Himaloy Group, SMS Group, Britto Group, AH Group, Rajoniganda Group, Tanshir Finance & Commerce, Al-Amana Finance & Commerce, Hosneara Corporation, China Bangla Trade, Sylhet international School & College, FAMS international School & College, ICAP Agro Ltd., Himalay Agro Ltd., AL-Monsur Manpower(Dubai, UAE), First Fashion Ltd., Adi & Alvi Fashion Ltd., Prachin Samver Ltd., Green Club., Bangladesh Publication., Fresco Add., Hirohama Bangladesh

Training

Vat & Tax, Vat tax, ICMAB, Bangladesh, Nilkhet Dhaka, 2008, 5 Training

References

  • Md. Tariqul Islam Monir, New Vision Group, Managing Director, Ally`s Center (Level 9), 40 Bijoynagar, Dhaka, Dhaka, 1000, +88 02 9341593, 8392041, +88 02 8392042, monir@newvision.com.bd, Professional, 01612211848
  • MD. Kashem Iqbal, SJ Papers & Plastic Limited, Managing Director, Banashri, Dhaka, Dhaka, 01911659777, Professional

Extra-Curricular Activities

Forex Market Expert Analytic and Fund Management Named as FOREX WORLD GODFATHER. Godfather Analysis Create own Arithmetic theory with Geometry Analysis branch of mathematics that studies the sizes, shapes, positions angles and dimensions of things. Flat shapes like squares, circles, and triangles are a part of flat geometry and are called 2D shapes. AND Mixture of Harmonic Patterns, Trend Analysis, Wave Analysis, Chart Patterns, Technical indication XABCF Pattern, Cypher Pattern, ABCD Pattern, Triangle Pattern, Three Drives Pattern, Head and Shoulders, Elliott Impulse wave(both 12345 & ABCDE), Elliott Triple Combo Wave (WXYXZ) Elliott Correction wave (ABC) Elliott Double Combo Wave (WXY) Cyclic Line, Time Cycles, Sine line

References

  • Md. Tariqul Islam Monir, New Vision Group, Managing Director, Ally`s Center (Level 9), 40 Bijoynagar, Dhaka, Dhaka, 1000, +88 02 9341593, 8392041, +88 02 8392042, monir@newvision.com.bd, Professional, 01612211848
  • MD. Kashem Iqbal, SJ Papers & Plastic Limited, Managing Director, Banashri, Dhaka, Dhaka, 01911659777, Professional

Timeline

Group CFO

Noapara Group
02.2025 - Current

Group CFO

Noapara Group
02.2025 - Current

Group CFO

Intraco Group
09.2023 - 01.2025

Group CFO

Intraco Group
09.2023 - 01.2025

Group CFO

Ezzy Group
07.2019 - 08.2023

Group CFO

Ezzy Group
07.2019 - 08.2023

Chief Finance Officer(CFO)

New Vision Group
11.2014 - 06.2019

Chief Finance Officer(CFO)

New Vision Group
11.2014 - 06.2019

Chief Consultant

First Step Business Consulting Firm
07.2010 - 10.2014

Chief Consultant

First Step Business Consulting Firm
07.2010 - 10.2014

AGM (A & F)

TANSHIR GROUP
08.2008 - 06.2010

AGM (A & F)

TANSHIR GROUP
08.2008 - 06.2010

Sr. Officer ( Accounts)

Mission Group
01.2007 - 07.2008

Sr. Officer ( Accounts)

Mission Group
01.2007 - 07.2008

Officer (Accountant)

Finlay Tea
02.2003 - 12.2006

Officer (Accountant)

Finlay Tea
02.2003 - 12.2006

National University

Masters in Accounting from Accounting

National University

B.com Hon`s (4 Years) from Accounting

Srimongal Govt College

H.S.C from Business Studies

Bhairovgong di pakoshik High School

S.S.C from Arts

ICMAB

CMA from Cost Management
JABEDUR RAHMAN