I will optimize your operations, manage risk, capex projects, and treasury
About this Gig
Unchecked operational risks, unmanaged foreign exchange (FX) volatility, and poor capital expenditure (CAPEX) oversight can quickly drain your company's cash runway.
As a Chartered Accountant (ACA) with hands-on corporate experience managing liquidity and auditing operational workflows, I help businesses protect their margins, manage cash, and secure major capital decisions.
My operational, risk, and treasury consulting services include:
- Treasury & Liquidity Management: Custom rolling cash flow forecasts, working capital optimization, and FX/currency hedging strategies.
- CAPEX Feasibility Modeling: Robust capital evaluations measuring project ROI, payback period, and cash flow impact.
- Business Process Redesign (SOPs): Overhauling key operational cycles (Procurement, Inventory, Payroll) to eliminate financial leakage.
- Internal Controls & Risk Registers: Custom risk-control matrices (RCM) and governance frameworks to safeguard assets and prevent fraud.
Business type:
Startups
•
Corporates
Industry:
Business services & consulting
•
Financial services
FAQ
What industries do you specialize in?
I have deep experience in transaction-heavy and capital-intensive sectors, including manufacturing, real estate, logistics, and commercial energy projects.
How does remote Treasury Management benefit my business?
It prevents cash crunches. We establish dynamic, rolling forecasts to anticipate co lections, manage payments, and set up hedging protocols for currency fluctuations.
What is a Risk-Control Matrix (RCM)?
It maps your operational risks directly to specific internal controls. This provides immediate accountability, prevents fraud, and guides your team as you scale.
