I provide comprehensive financial analysis and forecasting services designed to help businesses, startups, and investors make informed, data-driven decisions. My approach focuses on accuracy, structure, and practical insights rather than generic summaries.
🔹 What I Do
Financial Statement Analysis
In-depth analysis of Income Statement, Balance Sheet, and Cash Flow Statement
Identification of key trends, margins, cost drivers, and financial health indicators
Ratio analysis including liquidity, profitability, efficiency, and solvency metrics
Financial Forecasting & Projections
Revenue, cost, and profitability forecasting based on historical data
Scenario-based projections (base, optimistic, and conservative cases)
Assumptions clearly documented and aligned with business drivers
Financial Modelling
Structured Excel-based models with clean layouts and logical flow
Forecasted financial statements linked through assumptions
Sensitivity and scenario analysis for key variables
Valuation & Decision Support (Optional)
DCF valuation summaries and key valuation drivers
Comparable company analysis where relevant
Insights to support investment, funding, or strategic decisions
🔹 Deliverables You Can Expect
Well-structured Excel models
Clear summary reports (PDF / PPT / Word)
Key insights, risks, and recommendations
Transparent assumptions and methodology
🔹 Who This Is For
Startups preparing for fundraising or planning growth
Business owners seeking financial clarity
Investors and analysts requiring structured research support
Students or professionals needing finance models and analysis
🔹 Why Work With Me
Strong foundation in business finance and equity research
Detail-oriented, research-driven approach
Clear communication and timely delivery
Focus on practical, decision-oriented outcomes
🔹 Tools & Methods
Excel, financial statements, ratio analysis, forecasting techniques, DCF frameworks, and scenario modelling.