Reconcile Bank Statement and Financial Transactions

por financialxla
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bank reconciliation is a process that explains the difference on a specified date between the bank balance shown in an organization's bank statement, as supplied by the bank, and the corresponding amount shown in the organization's own accounting records. https://en.wikipedia.org/wiki/Bank_reconciliation

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I am financial specialist and guru in Excel and VBA. I create creative and complex business plans, financial models and feasibility studies in a simplified and logical manner including clear assumptions, drivers, financial statements, valuations, suitable sensitivity analysis, scenarios and dashboards that are easy to understand by the client and their investors. I have created dozens of reports for a variety of businesses including, startups, retailers, power plants, farms, equipment manufacturers, among others. Also, I am a guru in Excel, and I have extensive knowledge and expertise in advanced formulas, Pivot Tables, Visual Basic Application including preparation of dynamic dashboards, screen layout's (user-forms), drop-down boxes, generator reports, and charts. More on that, I develop financial modules including business valuation methodology & ratios (INPV, IRR, DCF, MCDA, CPI, SPI, EVM, KPI, SPE, SPV FVC, sensitive analysis, correlation, and regression, etc.)

$50 USD / hora

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