Prepared a comprehensive financial report that included the full set of financial statements (Income Statement, Balance Sheet, and Cash Flow Statement). The report also covered detailed financial ratio analysis (profitability, liquidity, efficiency, and solvency ratios) along with trend analysis over multiple periods to identify performance patterns and support strategic decision-making.
Additional sections included:
- Variance analysis (Budget vs. Actual)
- Year-over-Year performance comparison
- Commentary and recommendations for management
- Visual representation of data using charts and dashboards
Tools Used: Excel, Pivot Tables, Charts, PowerPoint
Skills: Financial Analysis, Reporting, FP&A, Excel, Management Reporting