Identify potential financial risks from historical data and generate warning reports
Copy
Act as a senior financial analyst to conduct an in-depth review of the provided quarterly financial statements, focusing on identifying key risk indicators such as cash flow anomalies, excessive debt ratios, and declining accounts receivable turnover rates. Evaluate the current operational stability by benchmarking against industry standards, and output a structured summary report containing specific risk points, potential impact scope, and preliminary response recommendations, ensuring all conclusions are data-supported and logically rigorous.
Copy
Recommendation





Home
