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Cashflow Forecasting

We use a cashflow forecast that has been designed internally; with sub section worksheets that feed into the front sheet.

The issue we have is data is not locked and can be moved/overtyped which causes mistakes

We're very simple with our formulas so looking to improve the sheet

Taidot: Excel, Rahoitus, Kirjanpito, Sijoitusanalyysi, Liiketoiminta-analyysi, Local Job

Sijainti: England, United Kingdom

Tietoa asiakkaasta:
( 0 arvostelua ) Caterham, United Kingdom

Projektin tunnus: #34384244

38 freelanceria on tarjonnut keskimäärin £989 tähän työhön

(556 arvostelua)
8.5
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8.3
(464 arvostelua)
8.3
P0L

(492 arvostelua)
8.0
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7.9
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7.4
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7.6
charleslimnet

Hello I am a prolific DCF, LBO and three statement financial modeling expert. I have over 18 years’ experience in finance, accounting, economics and statistical analysis. I am passionate about this project having gone Lisää

£1125 GBP 7 päivässä
(352 arvostelua)
7.6
(69 arvostelua)
7.5
(179 arvostelua)
6.9
daniyal3214

I can perfectly assist you with that. I am a professional Financial Analyst and Financial Modeling expert holding years of experience. I will be happy to discuss in detail.

£750 GBP 1 päivässä
(336 arvostelua)
7.4
AccountantArman

""""""""""""""""""""""CASHFLOW FORECASTING""""""""""""""""" "Sir, I am Accounting, Finance, Financial statements, CASHFLOW STATEMENT, Ratio analysis, FINANCIAL PROJECTIONS, Annual reports Advanced Level Expert. This is Lisää

£750 GBP 1 päivässä
(224 arvostelua)
6.8
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6.9
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6.8
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6.9
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6.3
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6.5
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5.9
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5.4
(32 arvostelua)
5.5