I build practical budgeting, forecasting, and FP&A models in Excel to help businesses plan cash flow, monitor performance, and understand financial trends.
This service can include budget preparation, rolling forecasts, variance analysis, scenario planning, revenue and expense projections, cash flow forecasting, and management-ready summaries.
You will receive a structured Excel model with clear assumptions, formulas, and reporting outputs tailored to your business needs.
I build practical budgeting, forecasting, and FP&A models in Excel to help businesses plan cash flow, monitor performance, and understand financial trends.
This service can include budget preparation, rolling forecasts, variance analysis, scenario planning, revenue and expense projections, cash flow forecasting, and management-ready summaries.
You will receive a structured Excel model with clear assumptions, formulas, and reporting outputs tailored to your business needs.