MN Finance

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Revision as of 17:32, 25 January 2018 by Jschrempp (talk | contribs)

Purpose

This team will review the financial model. They will work directly with the Treasurer to understand cash flow projections. They will recommend to the board changes in the model or the assumptions the model uses. The bottom line is to add extra, knowledgeable eyes to our planning process.

Status

We have a comprehensive financial model in a set of Google Doc sheets. We feel good about the fundamentals, but could use the ongoing expertise of several financial analysts.

Membership

We need two or three people.

Leader

Jim Schrempp

Skills Needed

  • Experience creating and maintaining financial cash flow models for small growing companies is very useful.
  • Good analytic skills
  • Detail oriented

Board Liaison

Jim Schrempp