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Jobs in Singapore   »   Jobs in Singapore   »   Business Management / Project / Planning Job   »   Business Analyst and Financial Coordinator
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Business Analyst and Financial Coordinator

Tipsy Bird Pte. Ltd.

We are expanding our Tipsy Family!

If you are passionate about F&B and looking for a job that is thrilling and fulfilling, you'll love it here at Tipsy Collective! We are looking for energetic, motivated individuals who enjoy working in an ever-changing environment.

A People-First Culture

Tipsy Collective is a multi-concept holding group led by a team of passionate individuals who seek to present hospitality uniquely through a series of thoughtful concepts. Tipsy Collective's brand and its foundation was built from the client lens as a basis for everything we do. It is this exceptional client loyalty and our talented employees that form our bedrock.

Responsibilities:

  • Support the CEO Office & Financial Controller in coordinating activities and information across various projects as assigned and follow-up on action items.
  • Evaluate and scope out project parameters for focus and action.
  • Gather market intelligence and perform business case analyses.
  • Perform financial modelling and draft business plan.
  • Support regional expansion efforts by liaising with cross-functional parties, both internally and externally.
  • Monitor the project progress and where applicable to ensure that the projects are on track.
  • Conduct fundamental research into companies, industries, sectors, and economics
  • Perform financial forecasting, reporting, and operational metrics tracking
  • Help prepare customized presentation materials.
  • Assist in preparing financial highlights and monthly reports for relevant stakeholders.
  • Assist in preparing daily, weekly, and monthly MIS reports for management’s review.
  • Analyze the daily sales report for trends and perform deep-dive on trend fluctuation reasons.
  • Prepare weekly trends report and analysis for EXCO meeting.
  • Prepare and analyze monthly Ops report on outlet profitability trends and fluctuation reasons.
  • Provide supports to teams with necessary financial reports and analysis in terms of profitability and efficiency.
  • Prepare monthly/ annual forecast with quarterly updates and analysis
  • Work closely with Finance, Cost Control and Procurement teams to cross-support each other on report preparation.
  • Reconciliation of sales receipts against POS reports.
  • Handle partial spectrum of account payable duties
  • Perform day to day financial accounting functions as necessary
  • Assist in month-end and year-end closing within given timeline.
  • Ensure financial and regulatory compliance (e.g., survey and other required reporting).
  • Evaluate and make improvements to business process and systems.
  • Responsible for any other duties that may be assigned from time to time as the Management deems fit.

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