Help Organizations grow financial performance through analysis of financial results, forecasts, variances, and trends Create recommendations to be presented to management and executives Develop financial models to support valuation, planning, and forecasting Aid in the capital budgeting and expenditure planning processes Reconcile existing transactions through cross-referencing of incoming and outgoing data Conduct comparables analysis and market research to support internal financial analysis Maintain up-to-date technical knowledge of financial instruments, market conditions, and trends