Build and maintain dynamic 3-statement financial models for various clients. Create models for new locations, pricing changes, sales funnels, and hiring plans. Translate operational inputs into financial logic. Partner with founders/operators to analyze pricing, channel performance, and unit economics. Build revenue funnels and forecasting mechanics. Evaluate revenue experiments and operational changes for financial impact. Build 13-week cash forecasts, long-term cash outlooks, and runway analyses. Assess expansion plans including build-out costs and breakeven points. Support capital raise preparation. Tie models to monthly actuals and ensure accuracy. Produce variance explanations for operators. Build lightweight dashboards or reporting templates. Reduce repetitive work through automations using tools like LiveFlow, Zapier, Make, etc. Build small workflows, templates, and scripts. Implement simple data pipelines. Evaluate and test modern FP&A platforms.