Senior Associate
Current• Proficiently spreading financial statements, including balance sheets, income statements, and cash flow statements, into client-customized tool and spreadsheets.• Examining the cash flow statement to understand the sources and uses of cash.• Compiling and preparing detailed reports summarizing the financial health of borrowers and sending of same to the client for review.• Computing financial ratios such as liquidity ratios, profitability ratios, and leverage ratios to assess the borrower's financial stability and operational efficiency.• The quality of statements on which we work are Company Prepared, Compilation, Reviewed, Un-Qualified, Unaudited, Tax Return and Projection statement.• Communicating with client through E-mails for clarification on special instructions and doubts.