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Home > Career > 23th June 2017

Executive/Senior Executive, Accounts & Finance





  • Handle full set accounts and monthly management reports.
  • Prepare payment voucher, debit note, credit note and journal voucher.
  • Prepare and monitor monthly GST submission and return.
  • Debtor and creditor management including invoicing and monitoring payments to suppliers, consultants and contractors.
  • Handles employees’ petty cash and claims.
  • Ensure bank reconciliation are prepare on timely basis.
  • Prepare monthly management reports.
  • Prepare budget and variance reports.
  • Monitoring cash flow management and credit control.
  • Monitor and control payment and collection schedule for project.
  • Maintain adequate cash flow and ensure cash book and petty cash are updated.
  • To liaise with bankers, auditors, tax agents, company secretary and authority.
  • To undertake and all other duties and responsibilities as instructed by the superior/ Manager.

Qualification Requirements: 

  • Possess at least Degree in Accountancy/ Finance or equivalent.
  • Minimum 3 years of working experience in related field.
  • Able to handle full set accounts and monthly management reports.