
To understand and analyze key financial statements of a company.
To examine the financial health, profitability, and liquidity of the company.
To identify areas of improvement and make recommendations for financial decision-making.
Gather and review the financial statements (income statement, balance sheet, cash flow statement) of the company.
Calculate and analyze key financial ratios to assess the company's performance.
Conduct a trend analysis to track the company's financial performance over time.
Identify any red flags or areas for improvement in the financial statements.
Prepare a report summarizing the findings and providing recommendations for financial decision-making.