Review financial statements and identify errors or issues. Prepare written commentary on profitability, margins, overheads, cashflow, and risks. Produce analysis packs for review. Maintain and update rolling financial forecasts. Lead financial modeling work for pricing, commissions, salaries, hiring impact, cashflow, and profitability. Translate financial movements into insights for partners. Prepare briefings on financial performance and required actions. Flag risks such as cash timing issues, WIP, AR, and cost pressures. Review work of junior analyst and provide guidance. Build internal quality standards. Own the middle layer of the delivery engine. Systemize templates, models, and workflows. Improve consistency and quality of financial packs. Maintain an internal action list for each engagement.