Presentation
I offer my services in the following areas:
- Preparing monthly and annual budgets and financial reports
* Cash flow management and profitability and cost analysis
* Developing financial plans and future forecasts
* Design and implement effective accounting systems (QuickBooks, Xero, or Advanced Excel)
* Monitor expenses and revenues and improve spending efficiency
* Prepare tax files and deal with external auditors
What sets me apart is the high accuracy, punctuality, and ability to turn numbers into practical decisions that help business owners achieve their goals with confidence.
If you are looking for a reliable financial partner who will manage your finances professionally and transparently, I am here to support you step by step.
**Skills:**
Financial Analysis | Budgeting | Financial Reporting | Cash Flow Management | Accounting | Excel | QuickBooks | Business Planning
Background
My studies have enabled me to combine economic theory with practical application in the field of financial management, which is reflected in my ability to:
* Analyze financial indicators and make decisions based on accurate data
Developing financial strategies that support growth and sustainability
- Designing integrated financial systems in line with the operational objectives of the organizations
This academic background, coupled with my more than 8 years of work experience, has given me a strategic financial insight that helps companies improve their financial performance and achieve long-term stability.

