Financial Model Excel Automaton
Budget: $20 – $35 USD
I need to review and improve a financial model based on data input into a Excel spreadsheet.
The output is to be self generated by Excel giving graphs, charts, occupancy rates, depreciation, maintenance costs and so forth as well as usual P&L, Balance Sheet, ROI, Cash Flow and Cash Flow forecasts.
Loans and shareholder equity must also be included.
The outputs should be clear, easy to read, and ready for annual audit.
The output is to be self generated by Excel giving graphs, charts, occupancy rates, depreciation, maintenance costs and so forth as well as usual P&L, Balance Sheet, ROI, Cash Flow and Cash Flow forecasts.
Loans and shareholder equity must also be included.
The outputs should be clear, easy to read, and ready for annual audit.