Collect, organize, and analyze financial data from various sources, Conduct trend analysis, variance analysis, and performance analysis, Analyze financial statements, including income statements, balance sheets, and cash flow statements, Prepare detailed financial reports and presentations for management, stakeholders, and other departments, Develop regular financial summaries (weekly, monthly, quarterly) to track financial performance against budgets and forecasts, Assist in the preparation of annual reports and other regulatory filings, Assist in the creation and management of the company’s budget, Develop financial forecasts based on historical data, market trends, and company objectives, Monitor budget vs. actual performance and provide explanations for variances, Create and maintain complex financial models to project the company’s future financial performance, Use financial models to evaluate potential investment opportunities, new products, or cost-saving initiatives, Conduct sensitivity analysis and scenario planning, Identify financial risks and opportunities related to business activities, Develop strategies to mitigate financial risks