Scaling revenue without financial structure creates hidden risk—cash surprises, margin creep, and unclear labor economics.
I help founder-led service businesses build simple finance systems you can run weekly, so you can see problems early and act fast.
What I build (typical deliverables):
• 13-week rolling cash forecast (collections timing + payroll/vendor schedule)
• Rolling forecast (P&L + key drivers) and forecast vs actual cadence
• Margin & labor visibility (by team/contractor/location when needed)
• Executive KPI dashboard (decision-grade, not accounting-heavy)
• Reporting automation to reduce manual work
I focus on building financial infrastructure, not just producing reports.
If you want a 1-page sample cash forecast output, D----------- “FORECAST”.