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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.
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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!
Sur 87,644 commentaires, les clients ont évalué nos Financial Analysts 4.9 sur 5 étoiles.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!
Sur 87,644 commentaires, les clients ont évalué nos Financial Analysts 4.9 sur 5 étoiles.# Full-Time Accounting & Reconciliation Professional – Travel Business ### Project Overview We are a growing travel business dealing in **airline ticket inventory and insurance products**. We pre-purchase airline inventory and resell it through our platform. We are looking for an experienced **Accounting & Reconciliation Professional** who can take complete ownership of our day-to-day accounting operations, Tally management, inventory accounting and financial reconciliation. This is a **long-term, full-time engagement**. We are looking for someone who can independently manage the accounting function rather than someone who only performs basic data entry. ### Key Responsibilities * Maintain and manage complete accounting in **Tally** * Daily/regular **Bank Reconciliation...
I run Travayo, India’s first curated travel-kit D2C brand, and I need a sharp researcher who knows the Indian startup ecosystem inside out. Your mission is to uncover every relevant Government grant, accelerator program, and startup-investor fund that a young consumer brand like ours can realistically secure, then help me act on the best of them. Here is how I see the engagement working: • Map the landscape of Government grants, accelerator programs, and private startup funding tailored to product-based ventures in India. • Rank each opportunity by eligibility match, cheque size, application timeline, and probability of success so I can focus effort where it counts. • When an opportunity looks right, guide or draft the application, ensuring compliance with each s...
I already run my accounts on Tally, so the software environment is ready for you to log in remotely. What I need now is consistent, daily support that keeps every transaction up-to-date, matches it against the bank feed, and produces clear reports I can rely on at month-end. Your day-to-day work will involve three core tasks: entering all sales, purchase, and expense vouchers; reconciling each entry with the bank statement so nothing slips through; and using Tally’s built-in features to generate the financial reports I review with management. Because this is a live file, accuracy and same-day turnaround are essential. Access will be provided via a secure remote desktop. I’ll supply source documents, bank exports, and any clarifications you need. If you’re comfortable na...
I'm seeking a financial expert to create a comprehensive proforma for a land development project for financing . Key requirements include: - Detailed cost analysis - Revenue projections - Risk assessment - Professional presentation Ideal skills and experience: - Background in real estate finance - Strong analytical skills - Experience with land development projects - Proficiency in financial modeling software
Project overview • Need an Excel-based system for a small vehicle finance office (4‑wheelers and 3‑wheelers). • Objective: move from handwritten registers to a single Excel workbook that tracks all agreements, instalments and reminders with minimal manual work.[freelancer +3] --- Core requirements • Create a Master “Agreement” sheet (one row per agreement) with: • Hirer details (name, address, mobile). • Guarantor details (name, mobile). • Vehicle details (type, make, model, year, regn no, engine no, chassis no). • Finance details (loan/finance amount, total amount to recover, number of instalments, instalment amount, first due date, frequency). • Create an Installments / Dump sheet (one row per instalment) that can be auto‑generated from...
I need a concise yet in-depth fundamental analysis covering the financial health behind several major cryptocurrencies. Rather than chart patterns, I want the spotlight on company or project financials—treasury size, cash-flow sources, burn rate, token distribution schedules, revenue models, and any audit-verified reserves that could affect long-term price stability. Your report should: • Examine at least the top two coins by market cap plus any additional assets you believe merit attention. • Draw on on-chain data, quarterly disclosures, tokenomics documents, and reputable third-party audits. • Highlight red flags as well as sustainable growth signals, backing each point with verifiable data and citations. A clear executive summary, data tables, and a shor...
Saya mencari seorang freelancer yang dapat membantu saya di bidang manajemen administrasi, dengan fokus utama pada keuangan. Kebutuhan paling mendesak adalah penyusunan laporan keuangan yang rapi, akurat, dan mudah dipahami oleh manajemen. Selain itu, saya kerap membutuhkan dukungan untuk menyusun berbagai laporan administrasi lain yang berkaitan dengan aktivitas bisnis sehari-hari. Ruang lingkup pekerjaan: • Menyusun laporan keuangan bulanan, triwulanan, dan tahunan sesuai standar akuntansi Indonesia. • Mengelola dan merekonsiliasi data transaksi agar laporan tetap konsisten. • Menyiapkan ringkasan performa keuangan (cash flow, profit & loss, neraca) beserta analisis singkat tren utama. • Membuat template laporan tambahan bila diperlukan untuk kebutuhan ma...
I’m looking for a skilled analyst who can dive deeply into my industry and produce a clear-headed competitive analysis. The main goal is to understand how the key players stack up so I can refine my own positioning and product roadmap. Your study should cover three core angles: • Competitor strengths and weaknesses – a concise SWOT for each main rival, backed by evidence (financials, customer sentiment, product reviews, news coverage). • Market position – where each competitor sits in terms of share, growth trajectory and strategic focus, illustrated with charts or heat maps. • Product / service comparison – a feature-by-feature matrix that highlights gaps and differentiation opportunities. I expect actionable insights, not just raw data, so...
I’m looking for a dependable QuickBooks pro to keep my books clean and up-to-date on a weekly basis. Every seven days you’ll log in, enter the latest activity, and reconcile three streams of transactions—bank, credit-card, and any invoices or payments that have cleared. Accuracy is everything for me, so each session should leave the registers balanced, discrepancies flagged with a short note, and the reports ready for my review before Monday morning. If you already have a smooth workflow for importing statements and matching items, even better; I’m happy to adapt to proven processes as long as they stay inside QuickBooks. Deliverables each week: • All current transactions entered and correctly coded • Bank, credit-card, and A/R ledgers fully reco...
Saya sedang mencari panduan komprehensif untuk meningkatkan penghasilan—baik yang langsung saya kerjakan (aktif) maupun yang terus mengalir setelah sistemnya berjalan (pasif). Apa yang saya butuhkan: • Analisis situasi keuangan dan keterampilan saya saat ini. • Rekomendasi peluang penghasilan aktif (misalnya freelance, layanan berbasis keahlian, proyek jangka pendek). • Rencana pendapatan pasif yang realistis (misalnya aset digital, bisnis online otomatis, investasi dengan risiko terukur). • Road-map langkah demi langkah lengkap dengan perkiraan waktu, alat, dan platform yang harus dipakai. • Sesi tanya-jawab singkat agar saya memahami eksekusinya. Hasil akhir yang saya harapkan adalah dokumen strategi terpadu serta daftar tindakan prioritas y...
# Freelancer Needed – Stock Analysis & Investment Research Website We are looking for an experienced **Full-Stack Developer / Financial Data Developer** to build a modern web platform for **stock market analysis and investment research**. ## Project Goal We want to create a website where users can enter a **company name or stock ticker** and receive a clear, data-driven analysis that helps them evaluate whether a stock appears attractive for further research. The platform should analyze the company's **financial health, valuation, growth, profitability, risks, and market performance** and present the results in a simple and professional way. > Important: The platform must present results as **research/decision-support signals**, not guaranteed investment advice or g...
I have a batch of operational expense records—covering Utilities, Salaries, and Office supplies—that must be keyed into Microsoft Excel and arranged so the data is immediately useful for reporting and analysis. I do not have an existing template, so part of the assignment is to design a clean, logical workbook structure that separates categories yet still lets me see overall totals quickly. Accuracy is critical: figures must match the source documents exactly, categorical labels must be consistent, and every row has to be complete before we move on. I’ll agree a deadline with you up front and expect the file delivered fully checked and ready to use by that date. Deliverables • A well-structured Excel workbook with clearly labelled sheets or tables for Utilities, ...
I need all of my project-related budget numbers transferred into Google Sheets. The figures are already compiled; what’s missing is a clean, well-structured spreadsheet that follows the guidelines I use for categorising costs, revenue projections, and variance tracking. Because I don’t yet have a formal template, the first step will be to translate those guidelines into a practical sheet layout—think organised tabs for individual projects, clear category columns, and simple formulas for totals and comparisons. Once the structure is agreed, you’ll enter the full set of project budget data, double-checking accuracy and making sure every amount ends up in the right place. If simple conditional formatting or basic charts will help highlight overruns or unused funds, ...
I’m searching for someone who can hit three targets at once: secure fresh business-investment opportunities, deliver CPA-ready financial projections, and dramatically cut my Gmail bounce rate by configuring G Suite Debounce the right way. I already source data from PitchBook and ZoomInfo, so you’ll be expected to pull, clean, and validate those lists, then prove—through before-and-after metrics—that your Debounce setup reduces hard bounces just as you claim. My day-to-day outreach runs entirely on Gmail, which means every percentage point you shave off the bounce rate translates directly into higher sender reputation and more investor conversations. If you have screenshots, dashboards, or campaign reports that demonstrate past reductions, show them up front; proof ...
I need a CPA to sign a letter to approve my personal financial statement. Requirements: Finacial Statement already completed - The financial statement should include an assets and liabilities summary. - Need someone to review and sign letter Ideal Skills and Experience: - Certified Public Accountant (CPA) - Experience with personal financial statements - Attention to detail
Category tags: Intuit QuickBooks · Accounting · Python · API Integration · Financial Analysis · Data Management · SQL Budget: Fixed price, milestone-based. Bid the full scope. Timeline: 3–4 weeks from kickoff. What I need A reproducible synthetic dataset for a fictitious solid-waste hauling company, covering 24 consecutive months of operations. This is for internal staff training, reporting/BI sandbox testing, and month-end close practice. No real company, customer, vendor, or employee data will be used or accepted. The scope has two linked layers: Financial layer — a populated QuickBooks company file (GL, AR, AP, payroll, fixed assets). Operational layer — the underlying service, tonnage, container, and route data that the f...
I'm seeking a finance director with DCAA expertise to ensure compliance and streamline processes. Government contracts experience a must. Role to own compliance setup and full ownership of FAR/DCAA compliance function, indirect rate structuring and reporting, DCAA-readiness, and investor-facing financials, actively navigating an FCL/FOCI process or an incurred cost submission. Key Responsibilities: - Audit support and preparation - Timekeeping and employee labor tracking - Cost accounting standards adherence - Review and improve existing processes - Establish new processes as needed Ideal Skills and Experience: - Proven experience with DCAA compliance - Strong background in finance and accounting - Ability to develop and implement effective financial processes - Excellent organizati...
I need help clearing a backlog of treasury records. All source documents are ready; what’s missing is the precise entry of every sales and purchase transaction into a structured Microsoft Excel workbook. Here’s what I expect: • Enter each sales invoice and purchase bill exactly as it appears on the supporting documents, following the column layout I provide. • Apply basic accounting logic—debits, credits and tax codes—so the running cash balance always ties out. • Flag any gaps or inconsistencies you notice; I would rather pause and clarify than correct errors later. The deliverable is a single, fully-populated Excel file with clean formatting, filters enabled and a control sheet that shows the final reconciled totals. I’ll review by...
Saya ingin membangun kekayaan lewat investasi properti dengan fokus utama pada penghargaan nilai aset, bukan sekadar pendapatan pasif. Saya memerlukan pendampingan menyeluruh—dari penentuan lokasi, analisis pasar, hingga rencana aksi terstruktur—agar keputusan pembelian pertama maupun portofolio berikutnya terarah dan berorientasi kenaikan harga jangka menengah-panjang. Ruang lingkup yang saya harapkan: • Riset pasar terkini: daerah bertumbuh, tren harga, dan indikator makro yang relevan. • Analisis kelayakan tiap kandidat properti: proyeksi capital gain, risiko, exit strategy. • Model perhitungan di Excel atau Google Sheets yang mudah saya perbarui sendiri. • Panduan langkah demi langkah: kapan masuk, kapan keluar, dan cara memaksimalkan leverage per...
I need my raw income and expense figures transferred into my own Microsoft Excel budget template. You’ll receive the template file together with the source data; simply fill each section exactly as laid out, maintaining all built-in formulas and formatting. Accuracy is critical—totals, subtotals, and category labels must mirror the original numbers without rounding errors or misplaced entries. I’ll verify the workbook against the source documents, so every value needs to align perfectly. Deliverable • The completed Excel workbook returned in its original structure, fully populated with all income and expense lines. Please keep all information confidential and let me know your expected turnaround time when you accept the task.
I need my raw income and expense figures transferred into my own Microsoft Excel budget template. You’ll receive the template file together with the source data; simply fill each section exactly as laid out, maintaining all built-in formulas and formatting. Accuracy is critical—totals, subtotals, and category labels must mirror the original numbers without rounding errors or misplaced entries. I’ll verify the workbook against the source documents, so every value needs to align perfectly. Deliverable • The completed Excel workbook returned in its original structure, fully populated with all income and expense lines. Please keep all information confidential and let me know your expected turnaround time when you accept the task.
I need an expert to handle both past and upcoming quarterly VAT returns in Germany. Your role will include: - Filing and ensuring compliance for quarterly VAT returns - Managing both past due and upcoming returns - Ensuring compliance for Umsatzsteuer-Sonderprüfung. Ideal skills and experience: - Extensive knowledge of German VAT regulations - Proven experience with filing quarterly VAT returns - Ability to manage and rectify past due returns - Detail-oriented and reliable Please provide your experience and approach to managing this task.
I’m seeking a Chartered Accountant who can step in as a hands-on business consultant. The immediate focus is twofold: 1. Business planning • Draft a full, investor-ready business plan with market-grounded projections. • Structure the financial model so it speaks clearly to banks and funding agencies. • Package the information required for loan and subsidy applications, ensuring compliance with current guidelines. 2. Financial management • Set up or refine cash-flow tracking, budgeting, and KPI dashboards. • Recommend practical improvements that keep us audit-ready and attractive to lenders. You’ll work directly with me, so clear explanations and actionable advice are essential. Familiarity with common accounting to...
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I need all of my current figures – income and expenses, individual departmental budgets, and several project-level budgets – transferred into a single, well-organised Excel workbook. The source data is already collected; what’s missing is a clean, accurate entry and a structure that makes analysis easy. I’m undecided on the exact template, so I’d like you to weigh in. If an existing industry-standard layout suits the data, great; if a custom sheet with dynamic formulas, drop-downs and clear categorisation would work better, let’s build that instead. Either way, totals must reconcile, categories need to be intuitive, and the file should be ready for monthly updates without breaking any links or formulas. Deliverables: • An Excel file contain...
I need a reliable freelancer to take my raw personal-finance figures and enter them into a well-structured Google Sheets file. The sheet must clearly track three key categories: Monthly bills and utilities, Entertainment and dining, and Savings and investments. All numbers will be supplied; your role is to input them accurately, apply simple formulas for running totals and category subtotals, and make sure the sheet remains easy to read and ready for ongoing updates. Consistency in date, currency and decimal formatting is important, and any obvious data anomalies should be flagged back to me before finalising. Once complete, share the Google Sheets link with editing rights so I can verify totals and continue using the file for future budgeting.
I need day-to-day support keeping my cash book fully up to date. Each business day you’ll record every incoming and outgoing payment in the working Excel register, then copy the data into QuickBooks so the ledger always matches the spreadsheet. Alongside the cash entries I’ll rely on you to raise and send customer invoices through QuickBooks whenever I email the order details. Everything is handled remotely, so timely communication and end-of-day file sharing are essential. Deliverables I expect: • A balanced Excel cash book posted before close of business each day • Matching entries reflected in QuickBooks Online • All requested invoices issued the same day If this routine work suits your schedule and you’re already comfortable inside Excel an...
I have a set of operational-expense figures already captured in an Excel spreadsheet that now need to be transferred into my master budget-tracking file with complete accuracy. The task is straightforward: take each row from the source sheet, verify the numbers, and enter them into the appropriate cost centres and period columns in the destination workbook. Because these are purely operating costs, I need the chart-of-accounts coding kept intact so our month-end reporting flows without manual fixes. Consistency in date formats, currency symbols, and decimal precision is critical; a single misplaced digit throws the whole variance analysis off. You’ll receive: • The source Excel file with all original entries. • A blank copy of the budget template that mirrors our ac...
I’m looking for a technically minded trader who can dissect the major crypto pairs for me each week using pure price-action and market-structure principles. All charting and annotations must be done in TradingView, as that is the platform I follow in real time. Here’s how I picture our workflow: you deliver a concise report before the Asian session opens each Monday, then follow up with mid-week updates whenever a key level or structural break appears. I’m not interested in indicator-heavy charts—clean structure, key S/R zones, and clear invalidation levels are what I need to make fast decisions. Deliverables • A TradingView link (or published idea) for every setup, with notes typed directly on the chart • A brief PDF summary highlighting entry trigg...
We are two business founders seeking an experienced U.S.-licensed CPA to provide forensic accounting, financial modeling, valuation analysis, and financial writing support for an ongoing commercial arbitration involving a major, multiphase real estate and sports/entertainment development venture. The dispute involves founder ownership, compensation, expenditures, related entities, and changes to project economics. We need an independent professional to review the financial evidence, test existing calculations, develop supportable scenarios, and help explain the findings clearly. The initial engagement is for remote consulting support. Any formal expert report, declaration, deposition, or testimony would be separately discussed and priced. The work will include: Financial reconciliation...
I run a small business on QuickBooks Self-Employed and need hands-on help getting the file in shape and keeping it there. Here’s what I’m looking for: • Initial setup of a clean, well-labeled chart of accounts that fits my business model. • Ongoing categorisation and reconciliation of daily bank and card transactions so nothing lingers in “uncategorised”. • Clear monthly financial reports—profit & loss, expense breakdowns, and anything else that helps me see where the money goes. You don’t have to be a long-time pro; solid familiarity with the Self-Employed edition and a careful eye for detail are what matter. I’m happy to walk through my current workflow, share bank feeds, and discuss any questions so you can work ef...
Our QuickBooks Online file has become cluttered after months of day-to-day entries, and I need it restored to a point where every number can be trusted. The highest-impact area is transaction categorizations: last quarter is riddled with incorrect expense buckets, duplicate entries, and far too many “uncategorized” lines. Those errors are now obscuring cash-flow reports, tax estimates, and management dashboards. Here is what I want to accomplish: • A diagnostic review of the entire file that pinpoints all mis-posted or duplicated transactions, with a special spotlight on the most recent quarter. • Corrections to every affected transaction—resolving the incorrect categories, eliminating duplicates, and clearing the Uncategorized queue—so P&L, Balanc...
I need my last financial year in Tally brought fully up to date and error-free. The priority is getting every sales entry posted and reconciled correctly. While many invoices and receipts are still scattered, I can supply bank statements and whatever paperwork I already have—you will need to pinpoint the gaps, ask for what’s missing, and guide me on how best to collect or recreate the supporting evidence. Once the documents are in order, I expect you to: • Enter all outstanding sales vouchers in Tally with correct tax codes, item details, and narration • Reconcile those entries against bank deposits, customer ledgers, and GST summaries • Flag and explain any discrepancies so I can resolve them before finalisation • Produce a concise reconciliation re...
I need my Tally data brought fully in line before finalising the year-end reports. The work centres on three transaction streams—Sales and Purchases, Bank Transactions, and all Expenses and Payments—making sure every voucher is posted, matched, and error-free. Special care is required for the Customer, Supplier, and Bank ledger groups. Each must balance to external statements and any discrepancies must be highlighted with notes on corrective action taken. Deliverables • Reconcile and post all Sales, Purchase, Expense, Payment, and Bank entries in Tally • Balance Customer, Supplier, and Bank ledgers to supporting statements • Provide a reconciliation summary showing outstanding items, adjustments made, and the final closing balances • Generate a cle...
I have a college project submitted as a locked-down PDF that shows a set of accounting schedules and summaries. All the wording, headings, and formatting must stay exactly as they are; the only task is to replace several figures with updated ones and add the resulting totals and subtotals so every column still balances. Because the document will be reviewed by my instructor, the arithmetic has to be flawless and the layout unchanged. What I need from you • Open or convert the existing PDF without damaging fonts, spacing, or page breaks. • Swap the specified figures with the new values I will supply. • Insert the new calculations—running totals, subtotals, and final balances—directly in the same style so they look native to the file. • Return the fin...
I need a precise, fast-turnaround transfer of numeric financial figures from a secure online portal into my existing Excel workbook. Each day I pull balances, transaction totals, and KPI metrics; about 300 rows (five columns each) must be keyed in with two-decimal accuracy, standard thousand separators, and dates in YYYY-MM-DD format. You’ll receive login credentials and my template. No formulas are required—this is pure data entry—but consistency and an eye for outliers are crucial. Work is ongoing: the first catch-up batch (three months of history) should be completed within 48 hours, after which we can settle into a daily update rhythm. Deliverables • Updated Excel file containing every provided record • Quick spot-check report flagging any missing ...
My Tally company data for the recent financial year needs a thorough once-over so that the final Profit & Loss, Balance Sheet, and Trial Balance are rock-solid. The prime goal is simple: ensure accurate financial statements before I lock the books. Here is what I need from you: • Reconcile every ledger for the fiscal year, cross-checking against the supporting paperwork I will supply (PDF bank statements, GST returns, etc.). • Spot and correct any discrepancies you uncover, updating ledgers or creating adjusting vouchers as required. • Perform any missing manual data entry—sales, purchase, contra, receipt, payment, and journal vouchers—directly inside Tally (Tally ERP 9 / TallyPrime). • Generate the final audited-ready P&L, Balance Sheet, Tri...
Tender documents attached. Seeking someone with proven experience in writing tenders for road or civil construction projects, a solid understanding of Australian procurement processes, excellent written communication skills with strong attention to detail, and the ability to turn technical information into clear, engaging content.
The goal is to turn raw accounting exports into a clear Management Information System inside Microsoft Excel. The workbook must display financial data only, with live views on Revenue & Expenses, Profit Margins, and Cash Flow. I will supply the source files (CSV and XLSX). Your job is to design the data model, automate the refresh, and present the numbers through clean charts, pivot tables, slicers, and conditional formatting so that anyone on the team can spot trends in seconds. Power Query or VBA is welcome if they simplify the workflow, but the final file has to stay fully portable in standard desktop Excel. Deliverables • One .xlsx file containing the dashboard and underlying data model • Simple “Data Refresh” button or documented refresh steps &bull...
I keep two sets of books—one in QuickBooks Online and the other in Xero—and I’m looking for someone who feels equally at home in both platforms. Most weeks I simply need the ledgers kept tidy and fully reconciled; at month-end I might also ask for help posting invoices, recording payments, or pulling management-level financial snapshots. Because the exact mix of tasks can shift, you should be comfortable moving from bank-feed clean-up to journal entries and on to light financial reporting without missing a beat. Accuracy, clear communication, and respect for deadlines are what matter most to me. If you already know the keyboard shortcuts and best-practice workflows inside each system, you’ll find this a straightforward, ongoing engagement.
I keep a running record of business income and expenses in Google Sheets and need the figures entered and balanced every single day. All source information already lives in simple digital spreadsheets; your task is to take those raw numbers, post them into my master Google Sheet, categorise each line correctly, and make sure the daily balance ties out. Accuracy matters more than speed, yet I do expect the sheet to be fully updated before the next business day begins. A solid grasp of Google Sheets functions (basic formulas, filters and quick data validation) will help you spot and correct any inconsistencies as you go. Deliverables: • Updated master Google Sheet reflecting each day’s transactions • Brief note on any discrepancies you encounter If you’re comfortab...
I need a Tally expert to bring my vendor and customer ledgers fully in line for the current financial year. All receipts, invoices, credit notes, and adjustments must match the statements I will provide, and any discrepancies have to be identified and resolved directly in Tally. Once each account is balanced, post the necessary adjustment entries so that my books reflect the true outstanding positions. Please work directly in my existing Tally data, keeping its structure intact. When you finish, I expect a concise reconciliation report highlighting every mismatch you found and how you corrected it, along with the updated Tally file ready for my auditor’s review.
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I need support bringing several months of income and expense transactions up to date inside my existing cloud-based accounting software. I will provide bank statements and any supplementary notes; your task is to enter each line accurately, assign the correct categories, attach the supporting documentation I supply, and keep the account balances in sync with the statements. Accuracy is critical—totals in the software must match the source statements to the cent and every transaction should be date-correct and properly described. Once the batch import is complete I will run my own reconciliation; I’ll sign off when the ledger shows zero discrepancies for the period. Login credentials, chart-of-accounts guidelines and a short loom walkthrough will be furnished at the start so ...
I need support bringing several months of income and expense transactions up to date inside my existing cloud-based accounting software. I will provide bank statements and any supplementary notes; your task is to enter each line accurately, assign the correct categories, attach the supporting documentation I supply, and keep the account balances in sync with the statements. Accuracy is critical—totals in the software must match the source statements to the cent and every transaction should be date-correct and properly described. Once the batch import is complete I will run my own reconciliation; I’ll sign off when the ledger shows zero discrepancies for the period. Login credentials, chart-of-accounts guidelines and a short loom walkthrough will be furnished at the start so ...
I need an experienced tax professional to take my nonprofit organization through a full Form 990 filing for the most recent fiscal year. All bookkeeping is NOT in QuickBooks, and I can supply financial statements, board information, and prior-year returns as soon as we start. Your task is to prepare every required part of the standard Form 990—not the EZ or N versions—including any schedules that apply to a typical public charity. When the work is done I expect a ready-to-file PDF of the form and schedules, plus the e-fileable XML if you have that capability. A short hand-off call to walk me through key numbers and confirm we are compliance-ready will round things out. Accuracy, adherence to IRS instructions, and a quick turnaround are essential.
Create a business plan for my project - Project name is Paani Dost its a Water supplying ATM and Packages water bottles. And its first approach with 3 dominations which are 500 ml , 1000 ml and 20 ltrs. Having options Normal Water , cold water and Alkaline Water. We need to create investment opportunity for each locations and ROI with in 7 moths., investment will be 5 lakhs for now. We provide all the set up to sell at your chosen locations and we will provide whole sale price per ltr and you keep the rest profit in 3 different dominations, the equipment belomgs to us. Why choose us , - becouse first we provide 3 dominations , easy payment methods- coin , UPI and Cards, , also we provide alkaline water which is healthier water to drink to keep organs healthy. And also we will have PH9 and...
I need help bringing an existing financial spreadsheet fully up to date. All raw figures are ready, but I’m short on time to transfer everything accurately. Your task is to enter the new financial data into the correct rows and columns, double-check totals against the source figures, adjust or insert formulas where needed, and leave clear notes for any anomalies you spot. The file is in Excel, so please be comfortable with basic functions such as SUM, IF and simple percentage calculations; no complex macro work is required. Once finished, I’d like the workbook returned error-free, neatly formatted, and ready for internal reporting.
I need a polished, print-ready GST invoice built entirely on a single Excel sheet for my retail business. The file must let me drop in my company logo and display all contact details and GSTIN in the header. An itemised table should follow, with formulas that automatically apply the correct GST rate and split CGST/SGST (or IGST) before showing line totals and the overall grand total. Below the financials, reserve space for my standard payment terms and conditions, then finish with a clearly marked column where I can sign and add the company stamp. Keep the layout A4-friendly, unlocked for easy colour or font tweaks, and make sure every field recalculates as quantities or rates change. Deliverable: • One editable .xlsx file that meets the above structure and prints cleanly without ma...
I need a signed 2026 year-to-date profit and loss statement and balance sheet for Adept Operations Group LLC to secure a mortgage. Requirements: - Profit and loss statement in PDF format - Balance sheet with summary and key notes - Prepared using cash basis accounting Ideal Skills and Experience: - Proficiency in accounting and financial statements - Experience with cash basis accounting - Attention to detail and accuracy - Ability to deliver professional, signed documents in PDF format
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