Presentation
During my academic and practical experience, I have worked on financial statement analysis, ratio analysis, and cash flow management to identify key insights that drive business growth. I have also completed an investment banking simulation where I built financial models, performed company valuation, and prepared investor-level reports.
My core skills include:
* Financial Modeling (Excel-based projections & forecasting)
* Profit & Loss Analysis
* Cash Flow Management
* Financial Statement Analysis (Balance Sheet, P&L, Cash Flow)
* Budgeting & Forecasting
* Business Performance Analysis
I have hands-on experience using Microsoft Excel, Power BI, and Tally to convert raw data into meaningful insights for decision-making.
I am particularly interested in working with small businesses, startups, and entrepreneurs to help them track expenses, increase profit, and build a strong financial structure.
If you are looking for someone who can simplify your finances and provide clear, actionable insights, I would be happy to work with you.

