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Alerte Risque Financier

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Identifier les risques financiers potentiels basés sur les données historiques et générer des rapports d'alerte.

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Act as a senior financial analyst to thoroughly review the provided quarterly financial statements, focusing on identifying key risk indicators such as cash flow anomalies, declining accounts receivable turnover, and imbalanced debt structures. Compare these metrics against industry benchmarks to produce a concise alert report that includes risk level assessment, specific cause analysis, and targeted mitigation recommendations, ensuring rigorous logic and robust data support.

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Agissez en tant qu'analyste financier senior pour examiner minutieusement les états financiers trimestriels fournis, en vous concentrant sur l'identification d'indicateurs clés de risque tels que les anomalies de flux de trésorerie, la baisse du taux de rotation des comptes clients et la structure déséquilibrée de la dette. Comparez ces métriques aux références sectorielles pour produire un rapport d'alerte concis incluant l'évaluation du niveau de risque, l'analyse des causes spécifiques et des recommandations d'atténuation ciblées, en assurant une logique rigoureuse et un soutien aux données robuste.

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