Responsibilities:
Responsibilities:
• Monitor and control in-flow and out-flow funds; verify all supporting documents before online and cheque payment approval.
• Prepare reconciliation for all balance sheet items and control accounts.
• Monitor bank balance, cash flow position to ensure sufficient funds to meet payment deadlines.
• Accountable to handle full set accounts, month end closing and monthly management report.
• Ensure timely and accurate completion of companies’ accounts with compliance to governing standards and regulations.
• Timely follow up with auditor to ensure the audit report is completed within timelines.
• Ensure completeness of documents in accordance with internal guidelines and policy for audit purposes.
• Responsible to prepare payment voucher, debit note, credit note and journal for immediate superior/Manager to verify.
• Monitor and maintain adequate cash flow and ensure cash book is updated.
• Liaise with company secretary, auditor, tax agent, bankers, suppliers, authorities on all finance related matters.
• Maintain good rapport with bankers, auditors, tax agent, company secretary, suppliers, and etc.
• Prepare report as required by Manager.
• To understake and all other duties and responsilbities as instructed by immediate superior.
Qualification Requirements:
Qualification Requirement:
• Possess at least Bachelor Degree in Accounting, Finance or related field.
OCR Group is an integrated real estate player involved in the property development, construction and project management consultation businesses
CONTACT:
A-3A-01, Block Allamanda
10 Boulevard Lebuhraya Sprint,
PJU 6A, 47400 Petaling Jaya
Selangor, Malaysia
T : +603-7710 1000
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