Financial Management:
• Review/update/create balance sheet account reconciliations and follow through on issues
• Ensure an appropriate chart of accounts
• Recommend improvements to the controls over key processes including payments, payroll, debtor financing, fixed assets & cash collections
• Coach and develop staff to work with my range of financial management tools including: monthly accounting checklists, daily cashflow report & reconciliation templates
• Review/create monthly management reports
• Review the structure of the finance dept, & recommend changes
• Identify system issues and recommend opportunities for improvement
Financial Analysis:
• Establish budget & forecasting models
• Build analysis spreadsheets as necessary. This may include analysis on pricing, overhead costs, job profitability,cashflow, work in progress and sales
Business Advisory:
• Business planning
• Due diligence & business valuations
• Investing accountant reporting
• Corporate financing
• Franchising advice
• Management of cross functional projects
• Risk assessments including plans to mitigate risk
Should you require any additional information please contact me.
