You will be responsible for overseeing the financial aspects of our Café or Textile Export and maintaining accurate records of all purchasing and inventory levels. Your role will be pivotal in guiding our financial decisions, streamlining processes and contributing to the overall success of our business.
Responsibilities:
1) Financial management: Handle day to day financial operations, including but not limited to payable/receivable, payroll and budgeting.
2) Record Keeping: Maintain accurate and up to date financial records using Ms Excel and other tools. Manage all financial transactions including purchasing and prepare regular financial reports for viewing by management.
3) Tax Compliance: Ensure adherence to tax regulations, and prepare monthly GST return in collaboration with Chief accountant.
4) Analysis and Forecasting: Provide insightful financial analysis, create forecasts and identify areas for cost-saving measures and revenue enhancement.
5) Process Improvement: Continuously evaluate and improve accounting and financial procedures to enhance efficiency and accuracy
6) Collaboration: Work closely with the management team to provide financial insights and contribute to decision-making.