How to come up with a great business idea
Struggling to come up with the best idea? Our exhaustive guide runs through the idea generation process to help you tap into your inner Steve Jobs.
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!
Da 87,313 valutazioni, i clienti danno una valutazione ai nostri Financial Analysts di 4.9 stelle su 5Financial 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!
Da 87,313 valutazioni, i clienti danno una valutazione ai nostri Financial Analysts di 4.9 stelle su 5Saya ingin sebuah software analisis data yang berfokus pada data keuangan—mulai dari neraca, laporan laba-rugi, hingga arus kas—yang bisa membantu saya menggali insight cepat tanpa harus berurusan dengan spreadsheet rumit setiap hari. Ruang lingkup inti: • Mengimpor data keuangan dari CSV, Excel, atau API akuntansi umum. • Membersihkan, mengelompokkan, dan menormalisasi angka secara otomatis. • Menyajikan visual interaktif (grafik tren, rasio, heat-map) serta laporan PDF siap presentasi. • Fitur drill-down agar saya dapat menelusuri transaksi sampai ke baris detail. • Opsional: modul prediktif sederhana—misalnya forecasting arus kas berbasis regresi atau time series. Saya terbuka pada stack apa pun yang nyaman Anda gunakan—Py...
I’m building an Excel workbook that must stay in sync with Zerodha’s Kite API, streaming both the full option chain and live market quotes in real time. Within the option chain I need every strike price for the selected symbol, its corresponding expiry dates, and the latest Open Interest and Volume figures to flow straight into the sheet the moment Zerodha publishes them. Here’s the workflow I have in mind: • The workbook opens, prompts for API key / secret, generates the request token and stores the access token securely. • A user-friendly input cell lets me type or pick the underlying (e.g., NIFTY, BANKNIFTY, any NSE stock). • Behind the scenes your code (Python with KiteConnect, xlwings or VBA—whichever you prefer) connects to Zerodha’...
I need an experienced bookkeeper who can handle the full spectrum of our accounts for a small business based in Cramlington. Using Sage, you’ll look after everything from data entry and reconciliations to VAT returns, monthly management reports, and liaison with our accountant. The role is ongoing and I’d like the core tasks completed once a week so the figures are always up to date. You should already be comfortable navigating Sage, spotting discrepancies quickly, and producing clear, well-structured summaries I can review at a glance. Payroll is part of the brief, so knowledge of UK PAYE and statutory filings is important. Deliverables each week: • All transactions entered and categorised in Sage • Bank and petty-cash balances fully reconciled • Payrol...
I have a set of source documents that contain both narrative details and numeric figures, all of which must be transcribed into a Google Sheets workbook designed for ongoing financial tracking. Every row will hold mixed data—descriptive text in some columns, numbers in others—so accuracy on both fronts is critical. Beyond clean data entry, the sheet must automatically calculate key performance indicators using the built-in IRR and NPV functions. Once the records are in place I should be able to adjust any cash-flow figure and see the updated returns instantly, so please structure the worksheet with clear cash-in, cash-out and date columns linked to those formulas. Deliverables • Fully populated Google Sheets file with all source data entered exactly as provided &bull...
I need a robust, production-ready trend-following algorithm built on Zerodha’s KiteTicker WebSocket stream. The bot must read tick data for Sensex and Nifty option contracts in real time, identify directional breakouts, and fire fully automated orders through KiteConnect—no manual clicks. Alongside the fresh build, I want help ironing out up to ten nagging issues in my current codebase (think disconnections, mis-handled exceptions, or order-sync glitches). Clean, well-commented Python is preferred and I expect the final script, a concise README, and the set of fixes delivered together. Payment is released once everything runs live without errors on my end.
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I'm seeking an experienced grant writer to help secure funding for my healthcare startup. The grant will be used to fund research and development, marketing, and operational costs. Key Requirements: - Write a compelling, clear, and persuasive business grant proposal. - Showcase the unique value proposition and potential impact of my healthcare startup. - Highlight the market opportunity, business model, and financial projections. - Clearly outline how the funds will be used and the expected outcomes. - Ensure compliance with all grant submission guidelines and requirements. Ideal Skills and Experience: - Proven experience in writing successful business grant proposals. - Strong understanding of the healthcare industry and startup dynamics. - Excellent research, writing, and communi...
I need a thorough, side-by-side evaluation of Company A and Company B, both operating in the finance sector. The work centres on three core documents you will source and analyse: the balance sheet, the income (profit & loss) statement, and the cash-flow statement for the most recent three years. Once the data are clean and organised, calculate the full suite of profitability and solvency ratios—gross margin, ROA, ROE, debt-to-equity, interest-coverage, and any other industry-standard metrics you consider essential for a credible picture of risk and return. If you spot a liquidity indicator that adds real insight, flag it; we can decide together whether to include it in the final cut. Interpret the figures in plain language, highlighting trends, year-on-year movements, and any r...
I want to start my market journey by mastering chart reading, and I have decided to dive straight into candlestick charts first. I need a patient tutor who can walk me through every element that shows up on the screen: how to read the wicks and bodies with confidence, recognise classic and advanced patterns and formations, and turn those observations into reliable trend identification skills. Here is what I have in mind: we meet online for live, interactive sessions where you share your screen (TradingView or a similar platform is fine) and break down real-time or historical examples. Each lesson should end with a short assignment so I can practise spotting patterns on my own; we will then review my screenshots or notes at the beginning of the next call. Once I’m comfortable interpr...
I need a professionally prepared balance sheet and a formal net-worth certificate to complete a business-loan application for my sole proprietorship. The numbers are straightforward—one operating account, limited assets, and no outside investors—but the documents must follow the standard format Indian banks request and carry a practicing Chartered Accountant’s signature and seal. You will receive: • Last three years’ income-tax returns • Bank statements for the current financial year • A summary of fixed assets and liabilities Your job is to review the data, ask for any missing figures, draft the balance sheet, calculate my personal and business net worth, and issue both documents on your official letterhead in PDF (print-ready) and Excel (edi...
I have a set of annotated screenshots that capture every element of an existing TradingView strategy, but no source code. Your job is to translate those images into a clean, fully functioning Pine Script Strategy that behaves exactly like the original: same plots, same signals, same back-test results. You will receive the screenshots and a brief explanation of the intended logic as soon as we start. I expect: • A single .pinescript file written in Pine v5 • Settings, inputs and plots matching what appears on my charts • Comments in the code so I can follow the logic and tweak parameters later • A short note comparing your back-test metrics to the ones visible in my images to confirm the match Please send me a private message that includes at least one TradingVi...
NOTE: Only contact if you have experience in the finance domain, specially designing presentations for Investment Funds I need my existing finance presentation transformed into a visually polished deck that immediately looks more refined and engaging. The content itself is solid, but the slides feel dated; my priority is to elevate the visual appeal without sacrificing clarity or credibility. Please work within a professional, formal style—think clean typography, consistent colour palette, and restrained use of graphic elements so the numbers remain the star. You’re welcome to introduce fresh layouts, subtle animations, and well-structured master slides. If additional charts, graphs, or imagery help tell the story better, feel free to recommend them; I can supply raw data on...
I’m gathering quotations from roughly a dozen food-service suppliers and need a clean, reliable Excel file that lets me and you plug each quote in and instantly see where we can save money. Structure I have in mind • One master workbook with a dedicated tab for every supplier (expect 10–12). • A dynamic summary tab that automatically identifies the best supplier overall for every line item, taking into account weight and pack-size differences. possible colour coded • Built-in calculations for total costs per supplier, potential savings against a current baseline, and any weight/pack-size conversions so we’re always comparing like with like. Presentation requirements • On the final tab I want a clear “best supplier overall” view, p...
I run a busy credit-repair firm and now need an experienced disputer who can take over the full cycle of challenging inaccurate items with Equifax, Experian, and TransUnion. Your core responsibility will be to identify erroneous, unverifiable, or outdated entries on our clients’ reports and get them removed as quickly and cleanly as possible.
I need EIN number for two US companies recently incorporated. The owners are foreigners and don't have SSN or ITIN. We need the EIN filed with IRS as foreign individuals without SSN for opening bank accounts. Please only bid if you have relevant experience and if you can get this done for us effortlessly. The application needs to get through without being rejected so experience is a must.
My divorce has left me with a shared company that now has to be formally closed and three years of tax filings that must be brought up to date. I already hold the full set of bank statements, invoices and prior returns, so access to records will not slow us down. The immediate priority is the correct deregistration of the joint company. I need you to investigate any outstanding liabilities, prepare and lodge the final accounts, and complete all paperwork so the entity is struck off without surprises for either party. While you work through that process, I also want the personal and company tax returns for the last three financial years prepared and lodged, using the documents I will supply. Deliverables • Confirmation of company deregistration, including all lodged forms and r...
I need a complete financial pitch deck in PowerPoint that I can walk straight into an investor meeting with, confident that every slide tells a compelling story. The deck must flow logically from a crisp company introduction, through product details and supporting market research insights, and finish with our pricing and revenue model. Because I am presenting to professional investors, the narrative has to feel persuasive without hype. That means tight messaging, concise copy, and data-driven storytelling. I rely heavily on numbers, so every key point should be visualised with clean charts and graphs rather than long paragraphs. Please develop the visuals directly in PowerPoint (no flat images only), using consistent colour palettes and typography so I can later tweak figures if needed....
I have a set of source documents that contain both narrative details and numeric figures, all of which must be transcribed into a Google Sheets workbook designed for ongoing financial tracking. Every row will hold mixed data—descriptive text in some columns, numbers in others—so accuracy on both fronts is critical. Beyond clean data entry, the sheet must automatically calculate key performance indicators using the built-in IRR and NPV functions. Once the records are in place I should be able to adjust any cash-flow figure and see the updated returns instantly, so please structure the worksheet with clear cash-in, cash-out and date columns linked to those formulas. Deliverables • Fully populated Google Sheets file with all source data entered exactly as provided &bull...
I have an online Financial Accounting assignment that must be completed by Sunday, 4/19 at 9 pm. It contains eight graded questions—some with multiple parts—and I am allowed three attempts on each with no overall time limit. The material centres on “accounting for decisions,” with a particular emphasis on financing decisions, so a solid grasp of how financial data drives capital-structure or funding choices is essential. Here is what I need from you: • Work through every question during a live screen-share or via clearly organised step-by-step notes so I understand the reasoning, not just the final figure. • Ensure the final submission reflects sound Financial Accounting practice; I want to maximise the score on the first pass to preserve my two remai...
I’m preparing to open a compact, low-investment snack stall inside a busy market and I want Maggi cooked to order to be the star attraction. My goal is straightforward: start generating daily cash, build a loyal stream of regulars and keep the operation flexible enough to expand later with add-on items such as biscuits or cold drinks. What I need from you is an actionable blueprint that walks me from zero to launch and then guides early-stage growth. Please ground every recommendation in real-world numbers and simple, repeatable processes—I’m aiming for minimal upfront spend without sacrificing food quality or hygiene. Deliverables 1. Startup checklist with licensing, equipment and fit-out needs (priced for tight capital). 2. Itemised cost sheet covering ingredients...
I need a concise yet thorough audit of our Accounts Receivable focused exclusively on aging analysis. Your task is to extract the open A/R data from our ERP (Microsoft Dynamics 365) and produce a clear report that highlights how long each invoice has been outstanding, broken down by due-date buckets. While payment-processing and credit-risk assessments could be interesting for future phases, this engagement is limited to aging analysis only. Here is what I expect: • Cleaned A/R dataset (Excel or CSV) showing invoice date, customer ID, amount, due date, and calculated aging bucket. • A short narrative report (PDF or Word) summarising key findings—total outstanding by bucket, largest delinquent customers, and any unusual patterns you notice. • Dashboard-ready tabl...
I'm seeking a professional to create a high-level strategy presentation for our CFO. The deck will focus on business growth plans and the competitive landscape. Key Requirements: - In-depth industry knowledge - Strong analytical and presentation skills - Experience with executive-level presentations Please include detailed project proposals in your applications, showcasing your expertise and approach to this task.
We are looking for a dedicated accountant for a work-from-home role involving accounting entries and reconciliation tasks. The role offers flexible work based on workload and provides exposure to practical accounting processes. Ideal for candidates with basic accounting knowledge who are detail-oriented and reliable.
I need to pull reliable market-index time-series from either Refinitiv Datastream or FactSet so I can complete a financial market analysis that concentrates on North America and Europe. I will be supplying the company names to create several indices. Your task is to: • Extract the data directly from Datastream or FactSet into Excel • Deliver the output in XLSX along
We want to build an automated, consolidated dashboard that acts as a single source of truth for our entire portfolio. The goal is to eliminate switching between multiple tools and have all financial, operational, and performance data in one place. The dashboard will primarily integrate with: Guesty (Accounting + Advanced Analytics) Stripe (for payment data) Objectives Centralize all key data into one dashboard Enable real-time visibility into performance Automate reporting instead of manual tracking Provide actionable insights (not just raw data) 1. Financial Module (Core Requirement) We need: Real-time P&L dashboard Revenue vs expenses Comparison against target goals Stripe integration Payments received Payout tracking Upcoming/expected payouts NOI (Net Operating Income) trackin...
Each month I export my bank and credit-card activity into QuickBooks and need it turned into clear, accurate financial reports. Your role is to keep the file fully up to date, then generate the standard Profit & Loss and Balance Sheet I use to guide decisions. The work centres on QuickBooks Online: • Bank reconciliation – every transaction matched to the appropriate feed or statement with no unreconciled items left behind. • Expense tracking – correct categorisation using my existing chart of accounts and consistent tagging for easy search later. • Invoicing – create and send invoices from my templates, apply payments when they land, and flag any that slip past due. I’ll deliver bank statements, receipts, and any notes by the 3rd business d...
We are looking for a highly experienced QuickBooks Online expert to help us properly set up our accounting system and train our internal accountant. Our company operates in Saudi Arabia and works in furniture supply and property management (short-term rentals). Scope of Work: 1. QuickBooks Setup & Review Review our current QuickBooks setup (if any) Set up or optimize: Chart of Accounts (tailored to our business model) Customers & Vendors structure Multi-currency setup (SAR + other currencies if needed) VAT setup (Saudi Arabia compliance) Invoicing & Estimates workflow Expense tracking & categorization 2. Training Our Accountant (Very Important) Provide structured training sessions covering: Creating estimates & converting to invoices Receiving payments correctly M...
I run a growing retail operation AND B2B and I’m looking for a dependable part-time accountant who is already comfortable working inside ERPNext. The core of the engagement is routine but accuracy-critical work: • Prepare and post Sales Invoices (SI) and Cash/Credit Receipts (CR) in ERPNext • Export the updated General Ledger every cycle and forward it to the sales team in the required format • Reconcile daily sales, payment gateways, bank statements and inventory movements to keep our numbers clean and audit-ready Everything happens in ERPNext, so please respond only if you have hands-on experience with that platform; I don’t use QuickBooks, Xero or SAP. Tell me briefly about similar ERPNext work you’ve completed and the volume you handled—so...
I need to get my company completely up to date for the last two financial years. The work involves drafting a full statutory pack for each year—balance sheet, profit & loss (income statement) and cash-flow statement—so that everything is ready for HMRC and Companies House. Once the numbers are final, I also want the corporation tax computation prepared and the end-of-year CT600 electronically filed. HMRC approved I will supply bank statements and any other source documents you request. Please reconcile the figures, flag any missing information early, and make sure the final iXBRL files meet HMRC’s current standards. Deliverables • Two years of signed statutory accounts (balance sheet, income statement, cash-flow) • CT600 for each year, successfully su...
Saya ingin memaksimalkan peluang di investasi cryptocurrency dengan fokus pada keuntungan cepat. Saya sudah menyingkirkan opsi seperti saham atau real estate, jadi saya butuh panduan khusus untuk pasar kripto yang fluktuatif. Ruang lingkup yang saya bayangkan: • Pemilihan koin dan token yang berpotensi memberi imbal hasil tinggi dalam jangka pendek. • Rencana entry dan exit yang jelas, termasuk target profit, batas kerugian, serta manajemen risiko. • Analisis tren pasar terkini menggunakan alat populer—misalnya TradingView, CoinMarketCap, atau platform on-chain analytics—agar keputusan saya berbasis data, bukan spekulasi semata. • Tips diversifikasi antar-koin guna meminimalkan risiko tanpa mengorbankan potensi keuntungan. • Checklist eksekusi ...
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My current earnings no longer cover the goals I have set for myself, so I want a clear and realistic strategy that shows exactly how to raise my monthly income and build long-term financial stability. Here’s what I need from you: • A concise assessment of my present financial position based on the information I will supply (income streams, expenses, debts, and any assets). • A step-by-step plan outlining practical ways to boost revenue—whether through side hustles, small-business ideas, or passive investment vehicles—plus an estimated timeline and projected results for each action. • Simple budgeting and expense-control techniques I can implement immediately to free up additional cash for growth. • A list of recommended tools, platforms, or r...
I’m looking for a detail-oriented bookkeeper who can keep my books accurate by reconciling all accounts every single week. The focus is reconciliation—matching bank, credit-card and payment-platform statements to the general ledger, flagging discrepancies right away and closing each period with a tidy, balanced report. You’ll log in to my cloud software (QuickBooks Online is in place, though I’m open to Xero or a comparable platform if you prefer) each Friday, complete the reconciliation workflow, and upload a brief summary that highlights cleared transactions, outstanding items and any issues that need my attention. Consistent timing is crucial because I rely on up-to-date numbers for cash-flow decisions on Mondays. Deliverables each week • All bank, c...
Necesito poner en orden tanto mi contabilidad personal como la de un pequeño emprendimiento que estoy desarrollando. El objetivo es consolidar la información de ingresos y egresos, preparar las declaraciones de renta y generar certificaciones de ingresos, todo acompañado de una asesoría fiscal que me permita cumplir con las obligaciones tributarias sin contratiempos. Alcance del trabajo • Levantar y clasificar los movimientos bancarios y de efectivo. • Diseñar un esquema de cuentas claro que separe lo personal de lo empresarial. • Elaborar declaraciones de renta actualizadas y listas para presentación. • Emitir certificaciones de ingresos cuando las solicite una entidad externa. • Brindar orientación fiscal so...
I need every transaction in my business captured in QuickBooks. Sales, expenses, receipts, bank feeds—everything must be entered, categorised correctly, and matched to supporting documents so my accounts are always up to date. Each evening I should be able to open QuickBooks and see an accurate running balance plus any alerts you flag for missing paperwork or unusual items. I handle monthly summaries and year-end reports myself; your sole focus is the daily data entry, coding and reconciliation that keeps the file clean. Please tell me about your experience performing DAILY bookkeeping inside QuickBooks (Online or Desktop). Screenshots, references, or a brief outline of similar accounts you’ve maintained will help me decide quickly. Deliverables • posting and catego...
I’m pulling together a lender-ready business plan for a new destination that combines a food park and bar with ATV, motorcycle, and bicycle tracks. My immediate objective is to secure a USDA-guaranteed loan, so the document must be structured and formatted to USDA standards and persuasive to commercial lenders. Scope of the plan • Executive Summary that captures the concept, unique selling points, and funding request. • Market Analysis built on competitor profiling, target-market demographics, and current industry trends, plus a traffic-flow study translating road counts into capture percentages. • Revenue Model with detailed pricing strategy, multi-stream income projections (food stalls, bar sales, track fees, rentals, events), and five-year pro-forma financial...
We are seeking a Texas‑licensed CPA to support our team in responding to government RFPs for internal audit engagements, conducted in accordance with IIA and GAAS standards. Ideal qualifications and experience: - Active Texas CPA license - Extensive experience performing internal audits in the public sector - Strong knowledge of financial reporting, accounting, and internal control processes - Demonstrated ability to assess operational efficiency, effectiveness, and risk - Ability to provide verifiable evidence of prior relevant experience, including client attestations or references Please include relevant past work, credentials, and references with your application.
Top Responsibilities: Lender Liaison: Communicate and follow up proactively with banks, realtors, sellers, and title companies to move files toward closing. Document Management: Collect, review, and organize complex financial hardship packages (financials, tax returns, bank statements, etc.) to ensure completeness and accuracy. Package Submission: Prepare and submit complete loss mitigation packages via lender portals and respond promptly to any missing document requests. Foreclosure Tracking: Monitor foreclosure timelines and coordinate critical steps such as BPOs/appraisals, payoff statements, and postponement requests. Case Logging: Maintain detailed digital notes and follow-up history for every file. Requirements: Must-Have: Proven experience in foreclosure processing, loss mitigation...
Top Responsibilities: Lender Liaison: Communicate and follow up proactively with banks, realtors, sellers, and title companies to move files toward closing. Document Management: Collect, review, and organize complex financial hardship packages (financials, tax returns, bank statements, etc.) to ensure completeness and accuracy. Package Submission: Prepare and submit complete loss mitigation packages via lender portals and respond promptly to any missing document requests. Foreclosure Tracking: Monitor foreclosure timelines and coordinate critical steps such as BPOs/appraisals, payoff statements, and postponement requests. Case Logging: Maintain detailed digital notes and follow-up history for every file. Requirements: Must-Have: Proven experience in foreclosure processing, loss mitigation...
I need a well-argued, 2,500-word Master’s level essay that fits a London university’s British academic structure and grading expectations. The topic sits squarely in banking and finance, so please anchor your discussion in that field and weave in recognised, named theories or models—think along the lines of CAPM, Modigliani-Miller, Basel accords or similarly authoritative frameworks where they strengthen the analysis. The paper must: • Demonstrate critical engagement with recent literature (peer-reviewed journals preferred). • Reference every source in a consistent British-style system (Harvard is ideal). • Flow logically from introduction through methodology/analysis to conclusion, keeping language formal yet readable. • Arrive fully proof-rea...
Every month I process roughly 10–12 purchase/sales bills and need each one entered accurately in TallyPrime. After entry, the corresponding E-invoice must be generated and, when distance thresholds apply, an E-way bill that follows the specific state regulations relevant to the shipment origin and destination. Once all bills for the month are closed, I also require a consolidated GSTR-1 report exported in Excel exactly in the format my tax portal accepts. Payment is straightforward: ₹50-₹100 per bill, tied to the quality and speed you demonstrate. Key deliverables each month • TallyPrime voucher entry for 10–12 bills • Correct E-invoice generation per bill • State-compliant E-way bill where applicable • One Excel-formatted GSTR-1 report covering t...
I handle day-to-day bookkeeping in QuickBooks but I’m falling behind on two core tasks: keeping the bank feed fully reconciled and producing clear financial reports. I’m looking for someone who can step in and, every week, match all bank and credit-card transactions, investigate discrepancies, and close out the account so that the balance in QuickBooks agrees with the statements. Once the books are clean, I also need timely Profit & Loss and Balance Sheet reports generated—nothing fancy, just accurate snapshots that I can forward to management without extra tweaking. If you spot classification issues along the way, I’d appreciate your suggestions or quick fixes. You’ll be working exclusively in QuickBooks (Online) for now, though familiarity with MYOB ...
I run a privately-owned, $2.5 M mental-health organization based in Houston and I’m ready to hand full responsibility for our books to one reliable expert. You would come in on a regular, as-needed basis and: • clean up the existing QuickBooks Online file, • translate our current workflow into QBO the way we actually operate, and • then “own the books” month after month—closing, reconciling, and keeping everything audit-ready. We already have a part-time bookkeeper, but the plan is to roll those duties into this single engagement so you become the sole point of truth for all accounting data. Solid QuickBooks Online skills and real accounting knowledge are essential; I’ll be looking for someone who can spot issues, advise on best practice, ...
Looking for a qualified Turkish accountant (SMMM) with experience in international tax and the UK-Turkey Double Taxation Treaty (1988). Services needed: - Advice on how UK Limited Company income is treated under Turkish tax law - Guidance on UK-Turkey double taxation treaty application - Annual Turkish tax return filing for foreign company income - Advice on tax-efficient ways to extract income from a UK Ltd (salary vs dividends) Please only apply if you: - Are a qualified SMMM or CPA - Have handled UK-Turkey international tax cases before
I’m looking for a clean, reusable sales-invoice template built entirely in Microsoft Excel. The finished workbook must let me enter customer details, list product descriptions, and spell out payment terms without breaking the layout. For the product section I’d like full flexibility—sometimes a single line per item is enough, other times I need multiple descriptive lines or even a category breakdown. Please structure the sheet so any of those views can be shown or hidden easily. Automatic line totals, subtotal, tax, and grand-total formulas should already be in place, and all cells where I’ll type data clearly marked. A spot for my company logo and address would be helpful too. Deliverable: • One unlocked .xlsx file ready to use and modify later. If you&rsq...
I have a set of raw financial figures that still need a bit of tidying before they can reveal their story. Once the data is properly formatted in Excel, I need clear, well-labeled outputs for these descriptive measures: mean, median, plus the full spread of quartiles and percentiles. Please structure the workbook so that the cleaning steps (date or currency standardisation, removal of blanks, etc.) are transparent, then create the calculation area—whether that is with built-in functions, dynamic arrays or PivotTables is up to you, as long as the results update automatically when new records are dropped in. Deliverables: • A single Excel file containing: – A “Raw_Data_Clean” sheet with all prep formulas in place – A “Stats_Summary&rdquo...
I'm looking for a skilled business analyst to help set prices for my towing service using a cost-plus pricing strategy. The ideal candidate should have experience in the service industry and a strong understanding of pricing strategies. Key tasks include: - Analyzing labor, equipment, and fuel costs - Developing a comprehensive pricing model Ideal Skills & Experience: - Experience as a business analyst - Strong analytical skills - Background in cost-plus pricing - Knowledge of the towing or service industry
Dear Freelancer, I have developed a trading strategy and I'm now looking for a freelancer with financial knowledge who can execute trades in index CFD contracts regularly on our corporate trading account. Signals and trade proposals will be sent to your company email and you will then execute the trades accordingly. You can expect 2-3 trades per day on average. Some days it may be up to 7 trades but that is not common. Some days there will be no trades. Trade proposals will be provided daily at around 8am and 2-2.30pm Stockholm time. It's important that you are available at this time to execute the trades. The case is very time sensitive so no delays in execution is allowed. I can pay $50 per month. To confirm that you have read this job post carefully please start your propo...
I need an Excel solution to automatically fill profit and loss and balance sheets for different subsidiaries through a consolidated sheet. The consolidated sheet must update in real-time. Requirements: - Use Excel for automation - Real-time updates on financial data - Initially set up to allow for manual data input Ideal Skills and Experience: - Proficiency in Excel, especially in data automation and real-time updates - Experience with financial statements and consolidation - Strong problem-solving skills to create a seamless integration for manual data input
Hi, I am looking for a quantitative analyst or researcher who has an active Pro or Premium account on Before applying, please confirm that you already have a paid subscription and that you actively use the platform in your research or strategy development. Thank you.
Struggling to come up with the best idea? Our exhaustive guide runs through the idea generation process to help you tap into your inner Steve Jobs.
Learn how to find and work with the best freelance Business Plan Writer for your business plan needs.
Looking for skilled graphic artists who specialize in vector designs?