Runs multi-scenario financial planning — best/base/worst case, sensitivity analysis, trigger events, and contingency planning for startup financial resilience.
Runs the full month-end close process end-to-end, including revenue recognition, accruals, reconciliations, journal entries, and the financial close checklist.
Prepares board meeting materials including executive summary, financial review, KPI dashboards, variance analysis, strategic commentary, and action tracking.
Builds revenue forecasts — cohort-based, pipeline-driven, or SaaS metric-driven models with top-down and bottom-up approaches, growth scenarios, and revenue composition analysis.