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 from the past twelve months, identify any metrics deviating more than ten percent from industry benchmarks, and analyze the potential operational factors causing these discrepancies, ultimately producing a concise report with risk level assessments, key driving factors, and specific mitigation recommendations, ensuring the language is objective and actionable.
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