Financial projections and scenario modeling (e.g., multi-year pro forma financial statements, 13-week cash flow)
Financial analysis (e.g., sales, expense, cash flow, profitability)
Business performance analysis and decision-support modeling (e.g., growth, restructuring, or capital planning)
Budgeting and forecasting support across monthly, quarterly, and annual cycles
Development of management, board, and lender reporting packages
KPI reporting and financial performance visibility and tracking
Standing up or enhancing FP&A functions
Acting as strategic liaison between ownership and outsourced finance/accounting providers
Developing and improving processes between existing finance and cross-functional teams