How to come up with a great business idea
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Financial Analysis is a field of study that focuses on the development and utilization of financial information to come up with decisions concerning the future of an organization. A Financial Analyst assesses the past performance and current financial situation of a company and predicts its future performance. They utilize measures like cost management analysis, investments analysis, financial models and forecasts, cash flow analysis and much more to determine the financial health of a company. By making use of business intelligence software including big data analysis, the Financial Analyst is able to spot areas for cost savings, offer opportunities for high return investments, employ strategies that minimize taxes and risk and develop plans for further improvement.
Here's some projects that our expert Financial Analyst made real:
Financial Analysis does more than just crunch numbers: it is also about having business intelligence and being able to understand the risks and opportunities associated with them. A Financial Analyst can assist a business in strengthening its operations by looking at it from an unbiased point of view, offering reliable advice that can benefit a company in its long term success. If you're looking to hire a Financial Analyst to provide independent financial advice on your business, why not post your project on Freelancer.com? Our expert Freelancers can help you assess your current financial situation, identify potential areas of improvement or carve out strategies to increase income. Trust that your project will be handled with professionalism, accuracy, and maximum efficiency - post on Freelancer.com today!
Von 74,965 Bewertungen, bewerten Kunden unsere Financial Analysts 4.9 von 5 Sternen.Financial Analysis is a field of study that focuses on the development and utilization of financial information to come up with decisions concerning the future of an organization. A Financial Analyst assesses the past performance and current financial situation of a company and predicts its future performance. They utilize measures like cost management analysis, investments analysis, financial models and forecasts, cash flow analysis and much more to determine the financial health of a company. By making use of business intelligence software including big data analysis, the Financial Analyst is able to spot areas for cost savings, offer opportunities for high return investments, employ strategies that minimize taxes and risk and develop plans for further improvement.
Here's some projects that our expert Financial Analyst made real:
Financial Analysis does more than just crunch numbers: it is also about having business intelligence and being able to understand the risks and opportunities associated with them. A Financial Analyst can assist a business in strengthening its operations by looking at it from an unbiased point of view, offering reliable advice that can benefit a company in its long term success. If you're looking to hire a Financial Analyst to provide independent financial advice on your business, why not post your project on Freelancer.com? Our expert Freelancers can help you assess your current financial situation, identify potential areas of improvement or carve out strategies to increase income. Trust that your project will be handled with professionalism, accuracy, and maximum efficiency - post on Freelancer.com today!
Von 74,965 Bewertungen, bewerten Kunden unsere Financial Analysts 4.9 von 5 Sternen.I need help keeping my company’s books in order here in Vietnam and I’d prefer to work with someone who can communicate comfortably in English. The work is strictly Bookkeeping and I follow a double-entry system, so you should already be confident with that method. You will take over the day-to-day recording of transactions, reconcile our bank statements, and prepare the regular management reports I rely on to make decisions. Everything must align with Vietnamese regulations while remaining clear to an English-speaking owner. If you are based in Vietnam, fluent in English, and experienced with double-entry bookkeeping, I’d love to hear how you would structure the workflow and your expected turnaround times.
I’m putting together a series of finance-focused pieces and need a writer who can explain complex concepts in a clear, educational tone. Each article should be thoroughly researched, backed by reputable sources, and structured so a reader with limited background in finance can follow along without feeling overwhelmed. Here’s what matters to me: accuracy, logical flow, and a style that teaches rather than sells. Please cite data where appropriate, weave in real-world examples, and close with concise takeaways a reader can act on. I’ll provide the core topics and target keywords; you’ll supply engaging headlines, well-organized sub-headings, and polished, client-ready copy that requires minimal edits. If this sounds like the kind of writing you enjoy, send over a br...
Our financial year has closed and I now need a full set of UK-compliant accounts prepared for a small limited company. The trial balance, bank statements will be supplied in Excel, along with access to our cloud ledger (Xero). The deliverable must include: • Profit & Loss (FRS 102 section 1A or FRS 105, whichever fits once you review the numbers) • Balance Sheet with all statutory notes • Statement of Cash Flows • iXBRL tagging ready for Companies House and HMRC submission Please apply normal UK GAAP presentation, reconcile every balance back to the trial balance, and flag any ledger issues you spot so I can clear them quickly. A brief hand-over call at the end to walk me through the figures will complete the assignment. When you respond, focus on you...
How do I make a script compatible and transferable from Tradingview to Webull Script Editor. It's called a Linear Regression Channel indicator for the chart. Here is the code: //@version=5 indicator('Linear Regression ++ [Dev Lucem]', 'Lin Reg ++ [DL]', overlay=true) mtf_val = ('', 'Resolution', inline="config", group="Algorithm Config") source = (close, inline="config", group="Algorithm Config") length = (100, minval=1, inline="config1", group="Algorithm Config") dev = input(2.0, 'Deviation', inline="config1", group="Algorithm Config") offset = (0, minval=0, inline="config2", group="Algorithm Config") smoothing = (1, minval=1, inl...
I need an experienced QuickBooks hand to configure “jobs” (sub-customers/projects) inside my existing company file so I can pull a clean, one-page view of any individual job’s numbers. Right now everything sits under broad customer accounts, which makes it impossible to see revenue, expenses, and profitability per job at a glance. What I’d like you to do is hop into a screen-share, assess how the file is organised, and then: • create a sample job structure I can reuse • map the right income and cost accounts to it • turn on or fine-tune any preferences required for job costing • demonstrate how to generate the key report that isolates one job (Profit & Loss by Job or the closest equivalent in my version) Please record or docume...
I have two payroll spreadsheets—one shows what we planned to spend, the other records what we actually paid, both already broken out by department. I need a solution that lets me compare the two quickly, spotlight variances, and surface trends without wrestling with formulas every month. Here’s what I’m after: 1. A refined spreadsheet template (Excel or Google Sheets is fine) that I can drop fresh data into at any time. When I paste or import the budget and actual files, the template should instantly calculate departmental variances, highlight over- or under-spend, and roll everything up into a clean executive summary. 2. A lightweight web app that performs the same comparison online. I want to upload the two files (CSV/XLSX), hit “run,” and see: • ...
I need a QuickBooks expert to help with data entry and reconciliation. Key tasks include: - Entering and reconciling: - Invoices and receipts - Bank transactions - Vendor bills and payments - Setting up automated processes for bank feeds The ideal candidate should have: - Proven experience with QuickBooks - Strong attention to detail - Ability to set up automation within the platform - Prior experience with data entry and reconciliation Please provide examples of similar work done and estimated completion time.
I'm seeking a skilled bookkeeper to manage several key tasks using Tally Prime. Tasks include: - Accounts payable and receivable - Bank reconciliation - Financial statement preparation Ideal skills and experience: - Proficiency in Tally Prime - Extensive bookkeeping experience - Strong attention to detail and accuracy - Ability to meet deadlines and manage multiple tasks Please provide a brief overview of your relevant experience and approach to the tasks.
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I run a manufacturing company in India and need an experienced accountant who can keep our books clean and compliant throughout the year. All entries are to be handled in QuickBooks, which we already have set up; you will receive direct access once we start. Core work will cover daily bookkeeping, monthly GST and TDS filings, reconciliation of vendor and customer ledgers, and the preparation of quarterly profit-and-loss statements leading up to a full annual balance sheet. Because we are in the manufacturing sector, you should be comfortable tracking raw-material consumption, job-work charges, and maintaining accurate inventory valuations inside QuickBooks. Accuracy and timeliness are critical. I expect: • Up-to-date, error-free ledgers at any point in time • All statutory r...
I have a steady stream of U.S. individual and business returns that must be turned around quickly in Drake. On a typical day—Monday through Saturday—I need someone who can dedicate a full 8-hour shift to preparing and final-reviewing 1040, 1120S, and 1065 filings for multiple clients. You’ll log in to my cloud-hosted Drake instance, pick up the source documents I upload, complete the data entry, run diagnostics, address any reject codes, and leave each return ready for my sign-off and e-file. Accuracy, compliance with current IRS guidance, and the ability to flag missing information before I see it are critical. We may talk through complex items by phone or Zoom, but most communication will be via Slack and email. Deliverables for each engagement • Drake file w...
I need my Xero file set up correctly from day one and then taken care of each month so I can stay focused on running the business. The two areas that matter most to me are: • Invoicing & billing – creating branded templates, automating recurring invoices where possible, and making sure payments flow smoothly through Xero. • Financial reporting – configuring the chart of accounts, setting up tracking categories, and producing reliable monthly and year-end reports I can share with my accountant. No data migration is required; everything will be created fresh in Xero. After the initial configuration, I’d like you to handle the ongoing upkeep: keeping invoice sequences tidy, reconciling payments that feed in automatically, reviewing report layouts, and f...
I’m preparing to pitch my new venture to potential investors and need a professionally written business plan that convinces them the opportunity is both viable and scalable. The document must be thorough yet concise, and it has to zero-in on startup funding requirements. Key elements I expect: • A solid market analysis that sizes the opportunity, profiles target customers, maps out competitors, and highlights any gaps we can exploit. You’re free to structure the remaining sections as you see fit, but the narrative should flow logically from the market findings to the financial ask. Clear, data-driven reasoning is essential; boilerplate language will not be enough here. Ideally, you have experience creating investor decks or SBA-ready plans and can translate raw research ...
I actively trade on TradingView and already rely on several open-source indicators plus one proprietary strategy. I now want everything wrapped into a single, coherent Pine Script that can place live orders with clear risk controls. Here is the core of what I need: • Combine my existing indicators and closed-source strategy into one script. • Let me toggle long/short entries, position size, and multi-time-frame confirmation directly from the script settings. • Include editable take-profit, stop-loss, and trailing-stop parameters so I can fine-tune risk on the chart without rewriting code. • Make the script broker-agnostic but capable of routing trades to futures, commodities, stock, and crypto brokers supported by TradingView’s Trading Panel or webhook/API ...
I’m preparing to pitch my new venture to potential investors and need a professionally written business plan that convinces them the opportunity is both viable and scalable. The document must be thorough yet concise, and it has to zero-in on startup funding requirements. Key elements I expect: • A solid market analysis that sizes the opportunity, profiles target customers, maps out competitors, and highlights any gaps we can exploit. You’re free to structure the remaining sections as you see fit, but the narrative should flow logically from the market findings to the financial ask. Clear, data-driven reasoning is essential; boilerplate language will not be enough here. Ideally, you have experience creating investor decks or SBA-ready plans and can translate raw research ...
I'm seeking an experienced construction project manager to oversee a commercial construction project currently in the planning stage. Your expertise will be crucial in ensuring the project runs smoothly and stays within budget. Key Responsibilities: - Budgeting and Cost Estimation: Develop a comprehensive budget and provide accurate cost estimates. - Scheduling and Timelines: Create and manage detailed project schedules to ensure timely completion. - Resource Allocation: Efficiently allocate resources, including labor and materials, to optimize productivity. Ideal Skills and Experience: - Proven experience in managing commercial construction projects. - Strong financial acumen for budgeting and cost estimation. - Excellent organizational skills for scheduling and resource management...
Looking for Acquisitions Managers, Dispositions Managers, and Transaction Coordination Specialists. The Acquisitions Managers will be searching and contacting distressed homeowners and closing deals, explaining what you are calling for and the process to the distressed homeowners from training material that will be provided to save their credit and walk away with cash in hand. You will be communicating with other team members like the Dispositions Managers to transfer over at least 5 or more closed deals so they can sell the contracts to the end buyers. The Dispositions Managers will be contacting the end buyers and with the training material provided and give them an experience that the firm has developed. They will need to communicate well with the Acquisitions Managers in receivin...
I need an expert who can turn my raw notes and figures into a concise, persuasive pitch deck aimed squarely at securing funding from angel investors. The story should unfold smoothly, beginning with a crisp company overview, moving into a data-backed market analysis, and finishing with clear, believable financial projections. Strong visual design is just as important as solid content. Clean layouts, consistent typography, and easy-to-read infographics will help the key numbers stand out at a glance. I’ll share all branding assets, copy points, and spreadsheets as soon as we get started; your role is to refine, structure, and design them for maximum impact. Deliverable • One investor-ready slide deck with the three sections above, supplied both as an editable PowerPoint a...
Saya membutuhkan bantuan untuk menangani pembukuan—fokus utama ada pada pegang buku kas—dengan seluruh proses dikerjakan di Excel. Setiap transaksi harian perlu dicatat rapi, dikelompokkan sesuai akun, lalu dirangkum dalam laporan arus kas sederhana agar saya dapat memantau saldo secara real-time. Ruang lingkup tugas: • Membuat file Excel terstruktur (jurnal, buku kas, buku besar, dan ringkasan bulanan). • Memasukkan dan menata data transaksi yang saya kirimkan (format bisa berupa struk digital atau catatan manual). • Menyusun rumus otomatis untuk total, saldo berjalan, dan ringkasan periode. • Menjamin konsistensi penamaan akun, tanggal, serta kode referensi agar mudah ditelusuri di kemudian hari. Saya lebih nyaman jika seluruh pekerjaan dijalankan ...
I need my Xero file set up correctly from day one and then taken care of each month so I can stay focused on running the business. The two areas that matter most to me are: • Invoicing & billing – creating branded templates, automating recurring invoices where possible, and making sure payments flow smoothly through Xero. • Financial reporting – configuring the chart of accounts, setting up tracking categories, and producing reliable monthly and year-end reports I can share with my accountant. No data migration is required; everything will be created fresh in Xero. After the initial configuration, I’d like you to handle the ongoing upkeep: keeping invoice sequences tidy, reconciling payments that feed in automatically, reviewing report layouts, and f...
I need an experienced Wave specialist to get our books fully operational, working hand-in-hand with our external accountant and shaped around the needs of a small real-estate–focused business. The immediate priorities are to build a clean chart of accounts that mirrors industry-standard real-estate categories and to connect all current bank and credit-card feeds so transactions flow in automatically. While we are not importing a full history, you will reference a partially updated Xero file and my written guidelines to recreate opening balances and key comparative data inside Wave. I will supply the Xero access and any supporting worksheets you need. No end-user training is required; the goal is simply a seamless setup that lets my accountant step straight into monthly reconciliati...
Saya sedang mencari bantuan keuangan berupa INVESTASI untuk memperbaiki kondisi ekonomi pribadi saya sebagai mahasiswa. Fokus utama saya adalah: • Menyusun strategi investasi sederhana namun efektif yang cocok dengan pendapatan terbatas dan risiko rendah. • Memetakan rencana jangka pendek hingga lulus kuliah serta proyeksi jangka panjang setelah memasuki dunia kerja. • Mendapatkan panduan langkah-demi-langkah: penentuan tujuan, pemilihan instrumen (misalnya reksa dana pasar uang, obligasi ritel, atau saham blue-chip), hingga cara memantau portofolio secara rutin. Saya membutuhkan penjelasan praktis dan mudah dipahami, termasuk template anggaran bulanan, tabel simulasi pertumbuhan dana, dan daftar aplikasi atau platform investasi yang relevan di Indonesia. Bila Anda b...
I need a training in comprehensive reporting and financial reports generated by odoo as well as budget forecast and analysis (sales and expenses)The dashboard will primarily display financial data. Requirements: - Financial Reporting Dashboard - Income Statements - Balance Sheets - Cash Flow Statements -Sales analysis -Expenses analysis -Forecast and budgets Ideal Skills: - Experience with financial data visualization - Proficiency in dashboard development tools - Strong understanding of financial statements - Ability to deliver high-quality work Please provide relevant work experience in your bids.
I have a complete CSV dataset that already contains daily returns, firm characteristics, and simulated ESG scores from six different rating agencies. I need a reproducible R workflow that: • Imports the CSV, fixes any inconsistent data types, and normalises numeric fields where appropriate (the file is already largely free of missing values, so no imputation step is necessary). • Calculates excess returns, firm betas, and then standardises each agency’s ESG rating using Z-scores. • Combines the six standardised ratings into an overall ESG score and derives an ESG-uncertainty measure (e.g. cross-sectional dispersion). • Forms monthly value-weighted portfolios sorted independently by beta, by the combined ESG score, and by the ESG-uncertainty metric. •...
Looking to do analysis on a Polymarket trading technique to understand what kind of strategy is being used, comparing it with copy trading bots to understand more about the edge. You also need excellent coding/algorithm skills to understand and tweak code
I lead a mid-sized company in the technology sector and need a finance consultant who can drill into our profit-and-loss statements. My aim is straightforward: I want to understand exactly what the numbers reveal—where we earn, where we leak, and why. You will receive our latest P&Ls together with any supporting schedules you request. From there, I’m expecting an insightful breakdown that: • highlights revenue drivers and cost centers, • flags unusual trends or one-offs, and • spells out clear, actionable next steps for leadership. Please present the analysis in Excel or Google Sheets, backed by a brief written summary and a short walkthrough call or video so my team and I can grasp the insights quickly. Experience with technology businesses of si...
We are looking for an experienced Arabic freelance consultant to prepare a comprehensive real estate feasibility study for a resort development project in Saudi Arabia. Requirements: • Proven experience in preparing real estate feasibility studies within Saudi Arabia. • Strong understanding of the Saudi market (hospitality, tourism, land development, Vision 2030 context).
I need help keeping my sales tax obligations under control. On a recurring basis you will pull data directly from Tally Prime, reconcile it, prepare the complete sales-tax return, and file it on time in the correct jurisdiction. Please be comfortable navigating Tally Prime’s ledgers, inventory modules, and tax reports, because that is the only platform we use. Your core responsibility is sales-tax preparation and submission; general bookkeeping, financial reporting, and income or corporate tax are handled elsewhere, so you can stay laser-focused on this one area. Deliverables I expect each filing period: • Reconciled sales figures exported from Tally Prime • Completed sales-tax return ready for my review • Proof of successful e-filing and payment confirmation...
I run a small, fast-moving tour company and I’m ready to hand the numbers to a reliable virtual accountant. What I need is straightforward: daily bookkeeping and clear, timely financial reporting that lets me see where we stand at a glance. Here’s what the role covers each day: categorising sales and expense transactions, keeping every ledger current, and reconciling accounts so nothing slips through the cracks. On a monthly cycle I also expect the core financial statements—profit & loss, balance sheet, and a brief commentary on any unusual movements—so I can make decisions quickly. I already have payment processors and banking feeds connected; if you’re comfortable with mainstream cloud accounting platforms we’ll get along fine, and I’m open...
Saya berencana membangun kekayaan melalui jalur investasi saham dan membutuhkan dukungan analisis pasar yang tajam serta rekomendasi saham yang dapat diandalkan. Apa yang saya perlukan: • Kajian menyeluruh tentang kondisi pasar—baik domestik maupun global—untuk mengidentifikasi sektor dan emiten yang berpotensi unggul. • Rekomendasi saham lengkap dengan harga masuk, target take-profit, dan batas cut-loss yang jelas. • Ringkasan alasan fundamental serta konfirmasi teknikal (trend, support-resistance, indikator kunci) bagi setiap rekomendasi. • Pembaruan berkala (mingguan atau saat ada perubahan signifikan di pasar) dalam format laporan singkat yang mudah dipahami. Kriteria keberhasilan: • Rekomendasi mengikuti profil risiko moderat hingga agresif...
Hi Client, I’d be happy to support your monthly QuickBooks Online bookkeeping. I specialize in helping small businesses keep their records accurate, reconciled, and ready for decision-making. With around 50 transactions per month, this is a great fit for a consistent and well-organized workflow. Here’s how I can help you: • Reconcile all bank, credit card, and payment accounts • Categorize income and expenses based on your chart of accounts • Deliver clear month-end reports (Profit & Loss, Balance Sheet, Cash Flow) • Complete everything within your 5-day timeline I’m detail-oriented, maintain strict confidentiality, and communicate clearly if questions come up. I’m ready to start and would love to work with you long term. If you’d...
Saya ingin meningkatkan penghasilan dengan memulai usaha saya sendiri. Saya mencari pendamping yang dapat: • Membantu saya memilih ide bisnis yang realistis dan sesuai pasar. • Menyusun Business Model Canvas serta rencana pemasaran yang mudah saya jalankan. • Menyiapkan proyeksi keuangan dasar—modal awal, arus kas 12 bulan, titik impas, dan estimasi laba rugi. • Memberi panduan langkah-langkah implementasi: perizinan, mencari pemasok, dan strategi penjualan online maupun offline. Hasil akhir yang saya butuhkan: 1. Dokumen rencana bisnis (PDF atau Google Docs). 2. Spreadsheet perhitungan keuangan yang bisa saya update sendiri. 3. Satu sesi tanya-jawab daring untuk klarifikasi dan penyesuaian rencana. Tolong sertakan contoh proyek serupa yang pe...
I need a concise monthly financial review packaged into a polished PowerPoint deck-just one to three slides that an executive can grasp in seconds. The content centers on two data sets: revenue and expenses, calling out month over month and year over year performance. Because the slides go straight to our C-suite, the look must be professional and clean—balanced white space, consistent fonts, and restrained color accents that guide the eye without distracting from the numbers. Think clear headline, a key metric call-out, and a chart or two that tells the story at a glance. I’ll supply the raw figures in Excel; you translate them into visuals such as column or line charts, small trend indicators, and a brief takeaway sentence for context. If you can link the charts to the spre...
I’m looking for an expert-level bookkeeper who can confidently navigate both QuickBooks Online and QuickBooks Desktop while working largely in the PST time zone alongside the rest of our team. Day to day you’ll be inside our files recording every transaction, reconciling each bank, credit-card, and loan account, staying on top of payables and receivables, and cleaning up legacy entries that are muddying the books. Once the data is solid you’ll turn those numbers into the three core management reports we rely on— Balance Sheet, Profit & Loss, and Cash-Flow Statement—so leadership can make timely decisions. Clear, proactive communication is critical because we treat bookkeeping as a team sport; you’ll have direct access to our operations and tax sta...
I need a comprehensive three-statement financial model for a LMM market business services company. The model should cover the following financial periods: - Annual: 2022-2024 - Monthly with annual rollup: 2025-2027 I have detailed financial records that need to be incorporated into the model. The model should include: - Income Statement - Balance Sheet - Cash Flow Statement Ideal skills and experience for this job include: - Expertise in financial modeling - Experience with LMM market business services - Proficiency in incorporating detailed financial records - Strong analytical skills to ensure accuracy and reliability Please provide samples of previous work and a brief outline of your approach.
I’m working on a macroeconomics assignment that focuses exclusively on fiscal policy. I need a concise, academically sound research and analysis piece that explains how government spending and taxation choices influence overall economic performance. Your job is to gather the latest scholarly and policy-based sources, identify key fiscal measures, and evaluate their short- and long-term macroeconomic effects. Clear arguments, well-interpreted data trends, and correct citation style are all essential. Deliverables • 2,000–2,500-word report in editable format • Minimum 8 reputable references (journals, IMF/World Bank, or comparable) • Supporting charts or tables that illustrate core findings • Brief executive summary (≈250 words) that highligh...
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I’m after a sharp mind who can operate like an on-demand think tank, diving deep into both policy analysis and investment analysis—each carries the same weight in this engagement. My main objective is to surface clear, data-backed growth opportunities that I can act on quickly. Here’s what I need from you: • A concise report that maps the current policy landscape relevant to my sector, highlighting regulatory shifts that could open (or close) doors. • A companion investment analysis that models potential returns and risks for the most promising avenues you uncover. • A set of actionable recommendations presented in a brief strategy call, so I can move from insight to implementation without delay. I value clarity over volume, so please ground every fin...
Saya membutuhkan seorang ahli untuk melakukan analisis keuangan yang berfokus pada laporan laba rugi perusahaan saya. Tujuan utama proyek ini adalah mengevaluasi performa finansial secara menyeluruh sehingga saya bisa memahami area mana yang kuat maupun yang perlu ditingkatkan. Lingkup kerja: • Menelaah data pendapatan, beban, dan laba bersih selama periode yang saya sediakan. • Menyusun ringkasan temuan utama—tren pendapatan, margin, dan efisiensi biaya. • Memberikan insight berbasis data beserta rekomendasi praktis untuk perbaikan performa. Saya akan menyerahkan laporan laba rugi dalam format spreadsheet. Harap kembalikan: 1. Analisis tertulis (maks. 3-4 halaman) lengkap dengan grafik atau tabel pendukung. 2. File spreadsheet yang telah dianotasi rumus atau s...
HI THERE GUYS I M LOOKING FOR A SIMPLE TO USE EXCEL DASHBOARD TO TRACK MY PERSONAL FINANCES BELOW THE LIST OF WHAT I NEED: - SUMMARY TAB: SHOWING NET WORK, DEBT vs EQUITY, LVR, GROWTH ( in trend chart) - BALANCE SHEET TAB: SHOWING A HIGH-LEVEL ASSET AND LIABILITIES - 4 PROPERTY TABS ( 1 FOR EACH PROPERTY): SHOWING LOAN AMOUNT, BALANCE, RENT etc.. - INVESTMENTS / PENSION CONTRIBUTION: SHOWING SOME FIGURES ABOUT MY INVESTMETNS AND RETIREMENT
My books for FY23 through FY25 have already been entered in Xero, but I need a qualified eye to make sure everything inside that file is rock-solid before the next round of compliance deadlines hits. Here’s what I need from you: • Open my existing Xero organisation, check every ledger, bank feed and journal, and clean up any misclassifications, duplicates, or unreconciled items you find. • Reconcile all accounts so the closing balances in Xero align with bank and loan statements. • Once the data is clean, generate complete, accountant-ready financial statements—balance sheet, profit & loss and cash-flow—for each year in question. • Amend any prior BAS/GST and income-tax returns that need fixing, then lodge every outstanding return for FY...
I’m looking for an experienced tutor who’s proficient in StrategyQuant X Pro Ultimate. The ideal candidate should have a strong working knowledge of the software, be comfortable with live, interactive screen-sharing sessions, and possess understandable English. I’m looking for a bout 4 to 6 hours per week, and I want the tutoring to be entirely live and interactive via screen share. Additionally, I’d appreciate seeing some samples of previous work to ensure a good fit.
We are looking for an experienced developer to create a profitable trading bot for Polymarket. The ideal candidate will have a solid understanding of market dynamics and experience in automating trades using algorithms. Your responsibility will include designing, coding, and testing the bot, ensuring it can adapt to rapid market changes and maximize profitability. Please provide examples of previous trading bots you’ve developed and your approach to risk management.
I have a set of raw financial records that must be entered into Excel and arranged strictly by date. I will forward the source files (PDF statements and the occasional CSV download); every transaction line needs to be keyed in, totals verified, and the final sheet sorted chronologically from the oldest entry to the most recent. I’ll also provide a concise style guide covering number formats, header rows, cell styles, and a colour code that highlights income versus expense. Please follow those custom formatting instructions so the workbook is client-ready the moment it lands back in my inbox. Because these files contain confidential account figures, I need someone who treats data security as non-negotiable and is willing to delete local copies once the project closes. A quick turnar...
I run a private limited company and need a qualified Chartered Accountant to prepare and submit our Income-Tax Return. All income this year is classified as business income, but my books are not fully organised yet. I will share bank statements, invoices, GST filings and any other raw data you request; I rely on you to compile the ledgers, finalise the financials, and e-file the ITR before the deadline. Please handle: • Collation and reconciliation of transactions • Preparation of financial statements compliant with Indian Companies Act and Income-tax Act • Computation of tax liability, including any advance-tax adjustments or carry-forward losses • Online filing of the ITR and delivery of the acknowledgment I prefer someone who is comfortable working with Tal...
roject Explained Simply: Automated Fundamental Health Checker This project is a simple tool that checks a company’s financial health automatically. You enter a stock ticker (like TATASTEEL or SUNPHARMA), and the tool: Pulls key financial data such as Assets, Liabilities, Revenue, EBITDA, PAT, and OCI Calculates Total Equity by subtracting liabilities from assets Compares the Intrinsic Value with the current market price Gives a clear Buy / Hold / Sell signal The tool is not meant to be a complex valuation model. It’s a working MVP that shows end-to-end execution. The demo is simple: Enter the ticker Click run Watch the financial data populate See the final decision instantly Including OCI shows a deeper understanding that net profit alone doesn’t tell the ful...
I’m currently working through a quantitative finance / financial engineering program and I’m looking for an experienced finance or quantitative professional to provide ongoing technical support and guidance. This is not a one-off task. I’m looking for someone who understands both financial theory and practical model implementation, and who can support me across multiple modelling problems and conceptual questions as the program progresses. Areas involved include: • Mean–variance portfolio optimisation • Risk-free assets and efficient frontiers • Volatility targeting and portfolio constraints • Excel Solver formulation and convergence issues • Asset pricing, portfolio risk, and returns • Interpretation and validation of quantitat...
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I am currently litigating a dormant car-loan dispute in bahraini court. The bank repossessed my vehicle, sold it at what I believe was an unfairly low price and is now seeking to recover the remaining balance plus years of accumulated interest. I already have: • a certified valuation proving the vehicle’s fair market price at the time of sale, • an accounting expert reviewing the loan statement for interest miscalculations and other banking irregularities. What I now need is an Arabic-speaking legal consultant—ideally Egyptian and fully acquainted with car-loan dispute practice—to work with me remotely. Your role is to craft every memorandum and written reply the court will require, drawing on the valuation, the expert’s findings and relevant banki...
We are hiring an experienced Excel financial modeling expert to develop a set of advanced financial Excel models for internal business use. The work requires strong financial logic, accuracy, and professional Excel structuring. This is not data entry or basic Excel work. Only apply if you have built serious financial models before. What You Will Develop You will build multiple Excel financial models, such as: Integrated financial models (Profit & Loss, Balance Sheet, Cash Flow) Budgeting and forecasting models Cash flow and runway models Unit economics models (LTV, CAC, break-even) Valuation and scenario analysis models Each model will be a complete, stand-alone Excel file. Deliverables (Per Model) Excel file (.xlsx) 5–10 structured worksheets Clear input and output sections...
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