Funding and Financial Management
Experience in reviewing fund status, creating financial projections, planning for growth and expenses, minimizing unnecessary costs, and automating accounting processes to ensure successful startup operations and support post-launch activities.
Key tasks I have collaborated with:
Compliance and Tax Planning:
Ensured compliance with all financial regulations and optimize tax planning strategies to reduce liabilities and enhance financial health.
Automation of Financial Processes:
Implemented accounting software and other automation tools to streamline financial processes, reduce errors, and improve efficiency.
Financial Projections:
Developed detailed financial forecasts, including revenue, expenses, and cash flow, to plan for different scenarios and ensure financial viability.
Budget Planning:
Created and managed a comprehensive budget that allocates resources effectively and supports strategic goals.
Fundraising Strategy:
Formulated a seed capital fundraising strategy, identifying potential investors, Govt grants, preparing pitch decks, and presenting compelling business cases.
Expense Management:
Implemented processes to track, review, and control expenses, ensuring spending aligns with the budget and minimizing unnecessary costs.
Cash Flow Management:
Monitored and managed cash flow to ensure the company has sufficient liquidity to meet its obligations and invest in growth opportunities.
Investment Analysis:
Evaluated potential investments and funding opportunities to determine their alignment with the company’s strategic goals and financial health.
Risk Management:
Identified financial risks and develop strategies to mitigate them, protecting the company’s financial stability.
Financial Reporting:
Produced accurate and timely financial reports to provide insights into the company’s financial performance and support decision-making.