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I am working on an assignment that will be graded academically and I need a seasoned finance-minded academic writer to take it from raw statements to a polished submission. The task centres on a full ratio analysis, covering liquidity, profitability and debt, pulled from the Income Statement, Balance Sheet and Cash Flow Statement of the company I will provide. Beyond the calculations, I expect a clear‐headed evaluation that interprets what each ratio says about operational efficiency, solvency and overall performance, then ties those insights together in a concise written report that reads well in an academic setting. You should already be comfortable with standard frameworks (GAAP or IFRS), know your way around Excel (or similar) for the number-crunching, and be able to translate findings into narrative form with proper academic referencing. A crisp executive summary, logical flow, and evidence-based conclusions will weigh heavily in the final mark, so attention to structure and clarity is essential. Deliverables • Spreadsheet (or workbook) showing each ratio formula, the sourced figures, and calculated outputs • 2,000-word report organised into introduction, methodology, analysis, conclusions and recommendations, fully referenced in APA or Harvard style (your choice) • Brief slide deck (3–4 slides) highlighting key takeaways for quick presentation And more than 10 references I will supply the financial statements and any background notes as soon as we start. Please let me know your relevant experience in finance or accounting academia, your preferred citation style, and how soon you can turn this around.
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