I came from finance. Now I build the systems businesses run on.

business process improvement, workflow automation, and internal tools, backed by a finance background.

For one trading business, four disconnected processes meant the same numbers were re-entered and re-checked by hand every day. I brought them into one system. Daily reconciliation went from several hours to under thirty minutes, and the owner has run it solo ever since.

some of the work

  • Custom Business Operations System (Gold Trading)

    internal2026

    A custom operations system built and sold to a Lagos-based gold trading business, centralizing customer balances, orders, invoicing, cash position tracking, and reconciliation as the single source of truth the business runs on.

    • cash tracking
    • customer balances
    • invoicing
    • order management
    • reconciliation

    client work, holds client data

  • AW Client Report Portal

    internal2026

    A client reporting portal built from a PRD, with authentication, client profiles, quarterly data entry, deterministic calculations, a live SVG report preview, a SACS cashflow diagram, a TCC net worth chart, PDF generation, report history, audit logging, and backup and restore scripts.

    • audit logging
    • authentication
    • backup and restore
    • client reporting
    • data entry
    • data visualisation
    • pdf reporting

    client work, holds client data

  • Aperio FP&A

    live2026

    An AI-assisted FP&A workflow that connects uploaded financial data, mapped reporting fields, and deterministic finance logic to produce variance analysis, anomaly detection, driver-based forecasts, scenario summaries, board-style briefs, and natural-language finance Q&A, with saved analyses, subscription billing, and PDF export.

    • ai q&a
    • anomaly detection
    • board reporting
    • forecasting
    • scenario analysis
    • variance analysis

    visit ↗

  • Multi-Entity Validator

    live2026

    A trial-balance validation tool for multi-entity finance teams that flags account mapping issues, duplicate entries, FX inconsistencies, classification gaps, missing tags, and intercompany mismatches before submissions move into reporting or consolidation, with an annotated CSV export.

    • consolidation support
    • data export
    • data validation
    • error detection
    • fx checking
    • intercompany matching
    • reconciliation

    visit ↗

see all the work →

questions about any of this? email me.