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 a financial expert and guru in Excel/VBA/Macro. 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 (script). I come up with creative and sophisticated financial & statistical modules in a simplified and logical manner including business valuation & terminal valuation methodology & ratios. With these skills, I develop financial modules including depreciation schedule, long-term debt, business valuation methodology & ratios. The modules incorporate complex components of business in a simplified and logical manner. what do I love to do? ✔️ Accounting, Consolidation & reconciliation. ✔️ Modules in Excel, financial projections, inventory, stock trading (API), financial reports. ✔️ Databases, Forms, Extracting and Cleaning, VBA/Macro and Pivot Tables. ✔️ Monitoring apps for traders and stockbrokers.

$50 USD / hora

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