Evaluate the main drivers of risk/return and sense-check the model.
Run Pareto analysis to rank the weights of output drivers [using a solver].
Run concentration analysis to identify the top items in a series (e.g. customers, products, spend, etc).
Roll-up financials to Q/HY/FY ends and sense-check using sum, range, min, max, etc and a heat map.
Visualize key model line items to identify trends, outliers or errors.