services

Financial reporting and management support

Cash flow

I analyze the company’s cash flows in detail, forecast them, and present them in a structured format. Transparent cash flow reporting helps maintain liquidity, ensure solvency, and inform future financing decisions.

Controlling

I regularly monitor and analyze financial and operational data, identifying deviations, trends, and cost structures. The purpose of controlling is to enable management to identify efficiency problems in a timely manner and make data-driven decisions.

Management reports

I prepare clear and targeted financial summaries for company managers that do not use accounting jargon, but present the company’s performance in a clear, decision-supporting format — with key indicators, graphs, and trends.

Decision-supporting analyses

I prepare strategic financial analyses that help with business development directions, investment decisions, pricing models, and cost efficiency improvements. I show the business logic behind the data, not just the numbers.