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I have several Excel workbooks that track our stock supply quantities. Unfortunately, the running balances have drifted and I keep running into inconsistent data. I need a data-savvy professional to dig into the spreadsheets, locate every mismatch, and return a clean, fully reconciled file. Here is what I’m after: • Work directly in the existing .xlsx files—no data extraction needed. • Clean and standardise the key columns (item code, in-qty, out-qty, balance, unit cost, payment status). • Identify and flag each row, SKU, or date range where the quantity on hand does not reconcile with the recorded movements. • Produce a short findings report that highlights the size and cause of each discrepancy, backed by pivot tables or charts so the results are easy to scan. Accuracy is the priority; elegant visuals are a bonus. If using Power Query, Power BI, or VBA speeds up the validation, feel free. I will share the raw files as soon as we agree to proceed and would like an initial pass within three days, with final delivery once we walk through any open questions together. Please mention similar reconciliation or inventory analysis work you have handled and the techniques you plan to use for error detection and correction.
Project ID: 40349167
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Active 1 mo ago
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As a seasoned Excel expert with proficiency in Power Query, Power BI, and VBA, I am confident in my ability to tackle your stock data reconciliation project swiftly and accurately. In my previous engagements, I've handled intricate inventory analyses, identified discrepancies, and offered pragmatic solutions for error detection and correction — matching your requirements precisely. My extensive experience using Excel for financial modeling, data tracking, and reporting aligns perfectly with the meticulous nature of this task. Capable of working directly in .xlsx files, I will expertly clean and standardize the key columns while diligently flagging any inconsistencies in quantity. Additionally, employing pivot tables or charts to back up my findings report makes the results easily scannable for you. In conclusion, I will not only seek total accuracy but also employ elegant yet functional visuals to make your reconciliation process even smoother. In just three days, you can expect an initial pass from me, which we can further refine through collaborative walkthroughs until you're fully satisfied. Let me help you put your stock supply back on track!
₹1,000 INR in 40 days
2.9
2.9
4 freelancers are bidding on average ₹1,063 INR/hour for this job

Hello, I understand that you're facing issues with inconsistent stock data across multiple Excel workbooks, which is critical for effective inventory management. With over 12 years of experience in data analysis and reconciliation, I can help you identify every discrepancy and return a clean, reconciled file. My approach involves directly working within your .xlsx files to standardize key columns like item code, in-qty, out-qty, balance, unit cost, and payment status. I will utilize Power Query for efficient data cleaning and VBA scripting to automate error detection processes. Additionally, I'll create pivot tables or charts to visually represent the discrepancies clearly. In previous projects, I've successfully reconciled inventory systems by pinpointing mismatches and providing actionable insights. This ensures accuracy while enhancing the overall visibility of stock movements. To better tailor my process to your needs, could you share any specific formats or examples of past discrepancies you've encountered? Looking forward to your response!
₹1,250 INR in 7 days
0.0
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Hello, I’m confident I can help you clean, reconcile, and standardize your stock supply Excel workbooks efficiently and accurately. I have extensive experience with inventory reconciliation, data validation, and Excel-based error detection, and I can ensure your balances match the recorded in/out movements precisely. Here’s how I would approach your project: Data Audit: Review all key columns (item code, in-qty, out-qty, balance, unit cost, payment status) to identify inconsistencies. Discrepancy Detection: Use formulas, conditional formatting, pivot tables, and, if helpful, Power Query or VBA scripts to flag mismatches by SKU, row, or date range. Correction & Standardization: Update balances, standardize formatting, and ensure consistent calculation logic across all sheets. Findings Report: Create a concise summary of discrepancies with pivot tables or charts, highlighting causes and magnitude of errors for easy review. Verification: Walk through corrections with you to confirm all issues are resolved before final delivery. Relevant Experience: Inventory reconciliation for multiple warehouses and e-commerce operations. Worked with large datasets using Excel, Power Query, and VBA for automated validation. Produced clear audit reports highlighting discrepancies, trends, and corrective actions. I can start immediately and aim to provide an initial pass within three days, with final delivery after your review. Regards, Nainsi
₹1,100 INR in 20 days
0.0
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Hi, I’m interested in this project. I have experience working with Excel for data cleaning, reconciliation, and inventory tracking. In my previous work as an MIS Executive, I’ve handled stock and transactional data, identified mismatches, and ensured accurate balances using Excel formulas, pivot tables, and Power Query. For this task, I will standardize the data, trace inconsistencies between in/out quantities and balances, and clearly flag discrepancies. I’ll also provide a concise report with pivot summaries to highlight issues and possible causes. I can deliver an initial analysis within 2 days and refine it after your feedback. Thank you, Sayali
₹900 INR in 40 days
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Chennai, India
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