Rolling Liquidity and Financial Modeling Specialist
Royaume-Uni
Anglais
Certaines informations sont présentées en anglais.
À propos de moi
I build financial models focused on cash flow, rolling liquidity, forecasting, and business planning. My work helps businesses understand upcoming cash needs, monitor inflows and outflows, plan funding requirements, and evaluate financial scenarios. I can create structured Excel or Google Sheets models tailored to your business, including rolling liquidity forecasts, cash flow projections, budgets, assumptions, and scenario analysis.
My goal is to turn financial data into a practical planning tool for better decisions.... Plus d’infos