Build and maintain dynamic 3-statement financial models. 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 customer economics. Build revenue funnels and forecasting mechanics. Build 13-week cash forecasts, long-term cash outlooks, and runway analyses. Assess expansion plans including build-out costs and time-to-breakeven. Support capital raise preparation. Tie models to monthly actuals and ensure accuracy. Produce variance explanations and build lightweight dashboards. Reduce repetitive work through automations. Build small workflows, templates, and scripts.