Develop cash flow statements, using variable pricing and cost assumptions, with equity and/or debt financing, with a return and payback on equity/project financing. Conduct scenario analysis to stress test M&A Financial viability. For more complex projects, provide a strategic fit and capabilities assessment with critical competencies identified with an actionable implementation and tracking plan Developed and managed strategic and financial planning team for a top 200 publicly traded company, developed M&A and business line financial proformas and plans. Monitored actual performance to plan results with variance analysis. Performed business valuation of 13 business lines.