Identify financial anomalies and generate risk reports based on historical data.
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Act as a financial analyst to review the company's cash flow, accounts receivable turnover, and debt-to-equity ratios for the past twelve months, identify any metrics deviating more than two standard deviations from industry benchmarks, analyze the potential liquidity crises or solvency risks arising from these discrepancies, and finally output a concise financial health assessment report containing key risk points, potential impact scope, and preliminary response suggestions.
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