Finance Operations and Reporting Specialist with 9 years of experience in banking operations, budgeting, financial reporting, and cash flow monitoring. I help businesses organize financial information, prepare budgets, analyze expenses, monitor cash flow, and create clear reports that support better decision-making.
Experienced in preparing operating budgets, financial reports, cash flow monitoring schedules, variance analysis, and Excel-based financial models. Skilled in transforming financial data into organized reports and actionable insights for business planning and operational improvement.
Currently expanding my expertise in Financial Planning and Analysis (FP&A), focusing on cash flow forecasting, budget management, and decision-support reporting.
I can assist businesses with financial data organization, budget preparation, reporting, Excel analysis, and operational finance support.